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Title,Journal,Year,Volume,Issue,DOI
"""Angel"" financing and public policy: An overview",JOURNAL OF BANKING & FINANCE,1998,22,6-8,10.1016/S0378-4266(98)00043-0
"""Clicks and bricks"": e-Risk Management for banks in the age of the Internet",JOURNAL OF BANKING & FINANCE,2001,25,11,10.1016/S0378-4266(01)00197-2
"""Crises"" in medical malpractice insurance: Evidence of excessive price-cutting in the preceding soft market",JOURNAL OF BANKING & FINANCE,2008,32,1,10.1016/j.jbankfin.2007.09.009
"""Grand"" corruption and the ethics of global business",JOURNAL OF BANKING & FINANCE,2002,26,9,10.1016/S0378-4266(02)00197-8
"""Hot Hands"" in bond funds",JOURNAL OF BANKING & FINANCE,2008,32,4,10.1016/j.jbankfin.2007.04.023
"""New"" data sources for research on small business finance",JOURNAL OF BANKING & FINANCE,1998,22,6-8,10.1016/S0378-4266(98)00015-6
"""The first shall be last"". Size and value strategy premia at the London Stock Exchange",JOURNAL OF BANKING & FINANCE,2000,24,6,10.1016/S0378-4266(99)00111-9
"""the real thing"": Nominal price rigidity of the nickel Coke, 1886-1959",JOURNAL OF MONEY CREDIT AND BANKING,2004,36,4,10.1353/mcb.2004.0065
"""Time for a Change"": Loan Conditions and Bank Behavior when Firms Switch Banks",JOURNAL OF FINANCE,2010,65,5,10.1111/j.1540-6261.2010.01596.x
"""Water seeks a level"": Modeling bimetallic exchange rates and the bimetallic band",JOURNAL OF MONEY CREDIT AND BANKING,2002,34,2,10.1353/mcb.2002.0038
"""You Can Enter but You Cannot Leave..."": US Securities markets and foreign firms",JOURNAL OF FINANCE,2008,63,5,10.1111/j.1540-6261.2008.01402.x
A barrier option framework for corporate security valuation,JOURNAL OF FINANCIAL ECONOMICS,2003,67,3,10.1016/S0304-405X(02)00260-X
A Bayesian analysis of return dynamics with Levy jumps,REVIEW OF FINANCIAL STUDIES,2008,21,5,10.1093/rfs/hhl036
A Bayesian approach to detecting nonlinear risk exposures in hedge fund strategies,JOURNAL OF BANKING & FINANCE,2011,35,6,10.1016/j.jbankfin.2010.10.023
A Bayesian Approach to Real Options: The Case of Distinguishing between Temporary and Permanent Shocks,JOURNAL OF FINANCE,2010,65,5,10.1111/j.1540-6261.2010.01599.x
A Bayesian's Bubble,JOURNAL OF FINANCE,2009,64,6,10.1111/j.1540-6261.2009.01514.x
A behavioral explanation for the negative asymmetric return-volatility relation,JOURNAL OF BANKING & FINANCE,2008,32,10,10.1016/j.jbankfin.2007.12.046
A case study of organizational form and risk shifting in the savings and loan industry,JOURNAL OF FINANCIAL ECONOMICS,1997,44,1,10.1016/S0304-405X(96)00008-6
A catering theory of dividends,JOURNAL OF FINANCE,2004,59,3,10.1111/j.1540-6261.2004.00658.x
A century of corporate takeovers: What have we learned and where do we stand?,JOURNAL OF BANKING & FINANCE,2008,32,10,10.1016/j.jbankfin.2007.12.038
A closed-form GARCH option valuation model,REVIEW OF FINANCIAL STUDIES,2000,13,3,10.1093/rfs/13.3.585
A closer look at financial development and income distribution,JOURNAL OF BANKING & FINANCE,2011,35,7,10.1016/j.jbankfin.2010.11.011
A closing call's impact on market quality at Euronext Paris,JOURNAL OF FINANCIAL ECONOMICS,2003,68,3,10.1016/S0304-405X(03)00073-4
A comparative analysis of current credit risk models,JOURNAL OF BANKING & FINANCE,2000,24,1-2,10.1016/S0378-4266(99)00053-9
A comparative anatomy of credit risk models,JOURNAL OF BANKING & FINANCE,2000,24,1-2,10.1016/S0378-4266(99)00054-0
A comparative study of structural models of corporate bond yields: An exploratory investigation,JOURNAL OF BANKING & FINANCE,2000,24,1-2,10.1016/S0378-4266(99)00059-X
A comparison of centralized and fragmented markets with costly search,JOURNAL OF FINANCE,2005,60,3,10.1111/j.1540-6261.2005.00770.x
A comparison of MAD and CVaR models with real features,JOURNAL OF BANKING & FINANCE,2008,32,7,10.1016/j.jbankfin.2006.07.015
A comparison of yield curve estimation techniques using UK data,JOURNAL OF BANKING & FINANCE,2003,27,1,10.1016/S0378-4266(01)00217-5
A compound option approach to model the interrelation between banking crises and country defaults: The case of Hungary 2008,JOURNAL OF BANKING & FINANCE,2010,34,12,10.1016/j.jbankfin.2010.07.003
A comprehensive analysis of the effects of risk measures on bank efficiency: Evidence from emerging Asian countries,JOURNAL OF BANKING & FINANCE,2011,35,7,10.1016/j.jbankfin.2010.11.017
A comprehensive analysis of the short-term interest-rate dynamics,JOURNAL OF BANKING & FINANCE,2006,30,4,10.1016/j.jbankfin.2005.05.003
A comprehensive look at the empirical performance of equity premium prediction,REVIEW OF FINANCIAL STUDIES,2008,21,4,10.1093/rfs/hhm014
A computational approach to pricing a bank credit line,JOURNAL OF BANKING & FINANCE,2011,35,6,10.1016/j.jbankfin.2010.10.002
A computational approach to the optimal structure of bank input prices,JOURNAL OF BANKING & FINANCE,2007,31,2,10.1016/j.jbankfin.2006.06.015
A conditional asset-pricing model with the optimal orthogonal portfolio,JOURNAL OF BANKING & FINANCE,2011,35,5,10.1016/j.jbankfin.2010.09.017
A conditional multifactor analysis of return momentum,JOURNAL OF BANKING & FINANCE,2002,26,8,10.1016/S0378-4266(01)00179-0
A consumption-based explanation of expected stock returns,JOURNAL OF FINANCE,2006,61,2,10.1111/j.1540-6261.2006.00848.x
A consumption-based-model of the term structure of interest rates,JOURNAL OF FINANCIAL ECONOMICS,2006,79,2,10.1016/j.jfineco.2005.02.004
A continuous-time model to determine the intervention policy for PBGC,JOURNAL OF BANKING & FINANCE,1997,21,8,10.1016/S0378-4266(97)00018-6
A contracting-theory interpretation of the origins of federal deposit insurance,JOURNAL OF MONEY CREDIT AND BANKING,1998,30,3,10.2307/2601258
A core inflation indicator for the euro area,JOURNAL OF MONEY CREDIT AND BANKING,2005,37,3,10.1353/mcb.2005.0028
A credit risk model for large dimensional portfolios with application to economic capital,JOURNAL OF BANKING & FINANCE,2006,30,8,10.1016/j.jbankfin.2005.05.024
A critical review of the new capital adequacy framework paper issued by the Basle Committee on Banking Supervision and its implications for the rating agency industry,JOURNAL OF BANKING & FINANCE,2001,25,1,10.1016/S0378-4266(00)00122-9
A critique of the stochastic discount factor methodology,JOURNAL OF FINANCE,1999,54,4,10.1111/0022-1082.00145
A critique on the theory of financial intermediation,JOURNAL OF BANKING & FINANCE,2000,24,8,10.1016/S0378-4266(99)00085-0
A cross-country comparison of full and partial venture capital exits,JOURNAL OF BANKING & FINANCE,2003,27,3,10.1016/S0378-4266(02)00389-8
A Cross-exchange comparison of execution costs and information flow for NYSE-listed stocks,JOURNAL OF FINANCIAL ECONOMICS,1997,46,3,10.1016/S0304-405X(97)00032-9
A cross-firm analysis of the impact of corporate governance on the East Asian financial crisis,JOURNAL OF FINANCIAL ECONOMICS,2002,64,2,10.1016/S0304-405X(02)00076-4
A cultural explanation of the foreign bias in international asset allocation,JOURNAL OF BANKING & FINANCE,2010,34,9,10.1016/j.jbankfin.2010.01.020
A cyclical model of exchange rate volatility,JOURNAL OF BANKING & FINANCE,2011,35,11,10.1016/j.jbankfin.2011.04.007
A Dialogue between Micro- and Macroeconomics: Introduction,JOURNAL OF MONEY CREDIT AND BANKING,2011,43,,10.1111/j.1538-4616.2011.00408.x
A direct test of the permanent income hypothesis with an application to the US states,JOURNAL OF MONEY CREDIT AND BANKING,2004,36,6,10.1353/mcb.2005.0014
A discrete Markov chain model for valuing loan portfolios. The case of Mexican loan sales,JOURNAL OF BANKING & FINANCE,1998,22,10-11,10.1016/S0378-4266(98)00057-0
A dynamic model for the forward curve,REVIEW OF FINANCIAL STUDIES,2008,21,1,10.1093/rfs/hhm039
A dynamic model of active portfolio management with benchmark orientation,JOURNAL OF BANKING & FINANCE,2007,31,11,10.1016/j.jbankfin.2007.04.007
A dynamic model of firewalls and non-traditional banking,JOURNAL OF BANKING & FINANCE,1997,21,3,10.1016/S0378-4266(96)00049-0
"A dynamic model of money, credit, and consumption: A joint model for the UK household sector",JOURNAL OF MONEY CREDIT AND BANKING,2005,37,1,10.1353/mcb.2005.0002
A Dynamic Model of the Limit Order Book,REVIEW OF FINANCIAL STUDIES,2009,22,11,10.1093/rfs/hhp011
A factor analysis approach to measuring European loan and bond market integration,JOURNAL OF BANKING & FINANCE,2011,35,4,10.1016/j.jbankfin.2010.09.016
A financial-economic evaluation of insurance guaranty fund system: An agency cost perspective,JOURNAL OF BANKING & FINANCE,1997,21,8,10.1016/S0378-4266(97)00015-0
A Financing-Based Misvaluation Factor and the Cross-Section of Expected Returns,REVIEW OF FINANCIAL STUDIES,2010,23,9,10.1093/rfs/hhq063
A first look at the accuracy of the CRSP mutual fund database and a comparison of the CRSP and morningstar mutual fund databases,JOURNAL OF FINANCE,2001,56,6,10.1111/0022-1082.00410
A first-passage-time model under regime-switching market environment,JOURNAL OF BANKING & FINANCE,2008,32,12,10.1016/j.jbankfin.2008.05.013
A flight to Q? Firm investment and financing in Korea before and after the 1997 financial crisis,JOURNAL OF BANKING & FINANCE,2008,32,7,10.1016/j.jbankfin.2007.11.013
A framework for assessing financial stability?,JOURNAL OF BANKING & FINANCE,2006,30,12,10.1016/j.jbankfin.2006.06.003
A framework for assessing the systemic risk of major financial institutions,JOURNAL OF BANKING & FINANCE,2009,33,11,10.1016/j.jbankfin.2009.05.017
A framework for journal assessment: The case of the Journal of Banking & Finance,JOURNAL OF BANKING & FINANCE,2011,35,1,10.1016/j.jbankfin.2010.07.006
A friend in need is a friend indeed: Allocation and demand in IPO bookbuilding,JOURNAL OF FINANCIAL INTERMEDIATION,2009,18,2,10.1016/j.jfi.2008.09.003
A further look at household portfolio choice and health status,JOURNAL OF BANKING & FINANCE,2006,30,4,10.1016/j.jbankfin.2005.05.006
A Gap-Filling Theory of Corporate Debt Maturity Choice,JOURNAL OF FINANCE,2010,65,3,10.1111/j.1540-6261.2010.01559.x
A GARCH option pricing model with filtered historical simulation,REVIEW OF FINANCIAL STUDIES,2008,21,3,10.1093/rfs/hhn031
"A general approach to integrated risk management with skewed, fat-tailed risks",JOURNAL OF FINANCIAL ECONOMICS,2006,79,3,10.1016/j.jfineco.2005.03.001
A general equilibrium analysis of check float,JOURNAL OF FINANCIAL INTERMEDIATION,1999,8,4,10.1006/jfin.1999.0274
A General Stochastic Volatility Model for the Pricing of Interest Rate Derivatives,REVIEW OF FINANCIAL STUDIES,2009,22,5,10.1093/rfs/hhn040
A general theory (and some evidence) of expectation traps in monetary policy,JOURNAL OF MONEY CREDIT AND BANKING,2008,40,5,10.1111/j.1538-4616.2008.00140.x
A generalization of the Brennan-Rubinstein approach for the pricing of derivatives,JOURNAL OF FINANCE,2003,58,2,10.1111/1540-6261.00546
A generalized extreme value approach to financial risk measurement,JOURNAL OF MONEY CREDIT AND BANKING,2007,39,7,10.1111/j.1538-4616.2007.00081.x
A guide to choosing absolute bank capital requirements,JOURNAL OF BANKING & FINANCE,2002,26,5,10.1016/S0378-4266(02)00210-8
A Habit-Based Explanation of the Exchange Rate Risk Premium,JOURNAL OF FINANCE,2010,65,1,10.1111/j.1540-6261.2009.01525.x
A law and finance analysis of initial public offerings,JOURNAL OF FINANCIAL INTERMEDIATION,2004,13,3,10.1016/j.jfi.2003.11.003
A lender-based theory of collateral,JOURNAL OF FINANCIAL ECONOMICS,2007,84,3,10.1016/j.jfineco.2006.06.002
A linear model for tracking error minimization,JOURNAL OF BANKING & FINANCE,1999,23,1,10.1016/S0378-4266(98)00076-4
A linearly implicit predictor-corrector scheme for pricing American options using a penalty method approach,JOURNAL OF BANKING & FINANCE,2006,30,2,10.1016/j.jbankfin.2005.04.017
A liquidity-augmented capital asset pricing model,JOURNAL OF FINANCIAL ECONOMICS,2006,82,3,10.1016/j.jfineco.2005.10.005
A Liquidity-Based Theory of Closed-End Funds,REVIEW OF FINANCIAL STUDIES,2009,22,1,10.1093/rfs/hhn028
A long-run non-linear approach to the Fisher effect,JOURNAL OF MONEY CREDIT AND BANKING,2007,39,2-3,10.1111/j.0022-2879.2007.00035.x
A market-clearing role for inefficiency on a limit order book,JOURNAL OF FINANCIAL ECONOMICS,2009,91,1,10.1016/j.jfineco.2007.12.004
A Markov model for the term structure of credit risk spreads,REVIEW OF FINANCIAL STUDIES,1997,10,2,10.1093/rfs/10.2.481
A Markov regime switching approach for hedging energy commodities,JOURNAL OF BANKING & FINANCE,2008,32,9,10.1016/j.jbankfin.2007.12.020
A model for tax advantages of portfolios with many assets,JOURNAL OF BANKING & FINANCE,2007,31,11,10.1016/j.jbankfin.2007.04.005
A model of competition in banking: Bank capital vs expertise,JOURNAL OF FINANCIAL INTERMEDIATION,2002,11,1,10.1006/jfin.2001.0327
A model of dynamic compensation and capital structure,JOURNAL OF FINANCIAL ECONOMICS,2011,100,2,10.1016/j.jfineco.2011.01.005
A model of financial structure and financial fragility,JOURNAL OF MONEY CREDIT AND BANKING,2006,38,3,10.1353/mcb.2006.0047
A model of investor sentiment,JOURNAL OF FINANCIAL ECONOMICS,1998,49,3,10.1016/S0304-405X(98)00027-0
A Model of Portfolio Delegation and Strategic Trading,REVIEW OF FINANCIAL STUDIES,2011,24,11,10.1093/rfs/hhr054
A model of returns and trading in futures markets,JOURNAL OF FINANCE,2000,55,2,10.1111/0022-1082.00233
A model of the monetary sector with and without binding capital requirements,JOURNAL OF BANKING & FINANCE,2004,28,3,10.1016/S0378-4266(03)00038-4
A moment computation algorithm for the error in discrete dynamic hedging,JOURNAL OF BANKING & FINANCE,2006,30,2,10.1016/j.jbankfin.2005.04.015
A momentum trading strategy based on the low frequency component of the exchange rate,JOURNAL OF BANKING & FINANCE,2009,33,9,10.1016/j.jbankfin.2009.03.003
"A money demand function with output uncertainty, monetary uncertainty, and financial innovations",JOURNAL OF MONEY CREDIT AND BANKING,2003,35,5,10.1353/mcb.2003.0034
A Monte Carlo method for optimal portfolios,JOURNAL OF FINANCE,2003,58,1,10.1111/1540-6261.00529
A more complete conceptual framework for SME finance,JOURNAL OF BANKING & FINANCE,2006,30,11,10.1016/j.jbankfin.2006.05.008
A multi-horizon comparison of density forecasts for the S&P 500 using index returns and option prices,JOURNAL OF BANKING & FINANCE,2010,34,11,10.1016/j.jbankfin.2010.05.006
A multibeta representation theorem for linear asset pricing theories,JOURNAL OF FINANCIAL ECONOMICS,1997,46,3,10.1016/S0304-405X(97)00034-2
A multinational perspective on capital structure choice and internal capital markets,JOURNAL OF FINANCE,2004,59,6,10.1111/j.1540-6261.2004.00706.x
A Multiplicative Model of Optimal CEO Incentives in Market Equilibrium,REVIEW OF FINANCIAL STUDIES,2009,22,12,10.1093/rfs/hhn117
A multivariate model of strategic asset allocation,JOURNAL OF FINANCIAL ECONOMICS,2003,67,1,10.1016/S0304-405X(02)00231-3
A new analysis of the determinants of the real Dollar-Sterling exchange rate: 1871-1994,JOURNAL OF MONEY CREDIT AND BANKING,2006,38,8,10.1353/mcb.2007.0005
A new approach to measuring financial contagion,REVIEW OF FINANCIAL STUDIES,2003,16,3,10.1093/rfs/hhg012
A new approach to modeling the dynamics of implied distributions: Theory and evidence from the S&P 500 options,JOURNAL OF BANKING & FINANCE,2004,28,7,10.1016/S0378-4266(03)00127-4
A new estimate of transaction costs,REVIEW OF FINANCIAL STUDIES,1999,12,5,10.1093/rfs/12.5.1113
A New Keynesian Perspective on the Great Recession,JOURNAL OF MONEY CREDIT AND BANKING,2011,43,1,10.1111/j.1538-4616.2010.00364.x
A new look at the Monday effect,JOURNAL OF FINANCE,1997,52,5,10.1111/j.1540-6261.1997.tb02757.x
A new measure of cross-sectional risk and its empirical implications for portfolio risk management,JOURNAL OF BANKING & FINANCE,2006,30,8,10.1016/j.jbankfin.2005.08.003
A New Perspective on Gaussian Dynamic Term Structure Models,REVIEW OF FINANCIAL STUDIES,2011,24,3,10.1093/rfs/hhq128
A new test of the relationship between regulatory change in financial markets and the stability of beta risk of depository institutions,JOURNAL OF BANKING & FINANCE,1997,21,2,10.1016/S0378-4266(96)00034-9
A nonlinear factor analysis of S&P 500 index option returns,JOURNAL OF FINANCE,2006,61,5,10.1111/j.1540-6261.2006.01059.x
A nonparametric approach for assessing productivity dynamics of large US banks,JOURNAL OF MONEY CREDIT AND BANKING,2001,33,1,10.2307/2673875
A nonparametric model of term structure dynamics and the market price of interest rate risk,JOURNAL OF FINANCE,1997,52,5,10.1111/j.1540-6261.1997.tb02748.x
A numerical method to price exotic path-dependent options on an underlying described by the Heston stochastic volatility model,JOURNAL OF BANKING & FINANCE,2007,31,11,10.1016/j.jbankfin.2007.04.013
A P.D.E. approach to Asian options: Analytical and numerical evidence,JOURNAL OF BANKING & FINANCE,1997,21,5,10.1016/S0378-4266(96)00057-X
A parametric nonlinear model of term structure dynamics,REVIEW OF FINANCIAL STUDIES,1999,12,4,10.1093/rfs/12.4.721
A path-dependent approach to security valuation with application to interest rate contingent claims,JOURNAL OF BANKING & FINANCE,1997,21,4,10.1016/S0378-4266(96)00062-3
A Political Agency Theory of Central Bank Independence,JOURNAL OF MONEY CREDIT AND BANKING,2010,42,4,10.1111/j.1538-4616.2010.00302.x
A portfolio view of banking with interest and noninterest activities,JOURNAL OF MONEY CREDIT AND BANKING,2006,38,5,10.1353/mcb.2006.0075
A practical approach to validating a PD model,JOURNAL OF BANKING & FINANCE,2009,33,4,10.1016/j.jbankfin.2008.11.007
A primer on monetary and fiscal policy,JOURNAL OF BANKING & FINANCE,1999,23,10,10.1016/S0378-4266(99)00026-6
A quantitative comparison of sticky-price and sticky-information models of price setting,JOURNAL OF MONEY CREDIT AND BANKING,2007,39,1,10.1111/j.1538-4616.2007.00017.x
A Rational Expectations Equilibrium with Informative Trading Volume,JOURNAL OF FINANCE,2009,64,6,10.1111/j.1540-6261.2009.01517.x
A rational expectations model of financial contagion,JOURNAL OF FINANCE,2002,57,2,10.1111/1540-6261.00441
A re-examination of China's share issue privatization,JOURNAL OF BANKING & FINANCE,2009,33,12,10.1016/j.jbankfin.2009.06.008
A reconsideration of the Jensen-Meckling model of outside finance,JOURNAL OF FINANCIAL INTERMEDIATION,2009,18,4,10.1016/j.jfi.2007.09.001
A reduced form model of default spreads with Markov-switching macroeconomic factors,JOURNAL OF BANKING & FINANCE,2011,35,8,10.1016/j.jbankfin.2011.01.001
A Reexamination of Corporate Governance and Equity Prices,REVIEW OF FINANCIAL STUDIES,2009,22,11,10.1093/rfs/hhp018
A reexamination of the conglomerate merger wave in the 1960s: An internal capital markets view,JOURNAL OF FINANCE,1999,54,3,10.1111/0022-1082.00139
A reexamination of the predictability of economic activity using the yield spread,JOURNAL OF MONEY CREDIT AND BANKING,2002,34,2,10.1353/mcb.2002.0040
A resolution of the distress risk and leverage puzzles in the cross section of stock returns,JOURNAL OF FINANCIAL ECONOMICS,2010,96,1,10.1016/j.jfineco.2009.11.003
A revealed preference approach to understanding corporate governance problems: Evidence from Canada,JOURNAL OF FINANCIAL ECONOMICS,2004,74,1,10.1016/j.jfineco.2002.11.001
"A review of IPO activity, pricing, and allocations",JOURNAL OF FINANCE,2002,57,4,10.1111/1540-6261.00478
A revisited and stable Fourier transform method for affine jump diffusion models,JOURNAL OF BANKING & FINANCE,2008,32,10,10.1016/j.jbankfin.2007.05.019
A risk-factor model foundation for ratings-based bank capital rules,JOURNAL OF FINANCIAL INTERMEDIATION,2003,12,3,10.1016/S1042-9573(03)00040-8
A rose.com by any other name,JOURNAL OF FINANCE,2001,56,6,10.1111/0022-1082.00408
A search-based theory of the on-the-run phenomenon,JOURNAL OF FINANCE,2008,63,3,10.1111/j.1540-6261.2008.01360.x
A shrinkage approach to model uncertainty and asset allocation,REVIEW OF FINANCIAL STUDIES,2005,18,2,10.1093/rfs/hhi014
A simple adaptive measure of core inflation,JOURNAL OF MONEY CREDIT AND BANKING,2002,34,1,10.1353/mcb.2002.0027
A simple model of credit contagion,JOURNAL OF BANKING & FINANCE,2007,31,8,10.1016/j.jbankfin.2006.10.023
A simple model of the gold standard,JOURNAL OF MONEY CREDIT AND BANKING,1997,29,1,10.2307/2953688
A Simple Robust Link Between American Puts and Credit Protection,REVIEW OF FINANCIAL STUDIES,2011,24,2,10.1093/rfs/hhq129
A simulation approach to dynamic portfolio choice with an application to learning about return predictability,REVIEW OF FINANCIAL STUDIES,2005,18,3,10.1093/rfs/hhi019
A skeptical appraisal of asset pricing tests,JOURNAL OF FINANCIAL ECONOMICS,2010,96,2,10.1016/j.jfineco.2009.09.001
A small-sample study of the New-Keynesian macro model,JOURNAL OF MONEY CREDIT AND BANKING,2006,38,6,10.1353/mcb.2006.0078
A specialist's quoted depth and the limit order book,JOURNAL OF FINANCE,1999,54,2,10.1111/0022-1082.00124
A stochastic dominance analysis of yen carry trades,JOURNAL OF BANKING & FINANCE,2010,34,6,10.1016/j.jbankfin.2009.11.017
A study of competing designs for a liquidity-saving mechanism,JOURNAL OF BANKING & FINANCE,2010,34,8,10.1016/j.jbankfin.2009.07.023
A study of the corporate governance of thrifts,JOURNAL OF BANKING & FINANCE,2004,28,6,10.1016/S0378-4266(03)00118-3
A study on long-run inefficiency levels of a panel dynamic cost frontier under the framework of forward-looking rational expectations,JOURNAL OF BANKING & FINANCE,2009,33,5,10.1016/j.jbankfin.2008.09.018
A study towards a unified approach to the joint estimation of objective and risk neutral measures for the purpose of options valuation,JOURNAL OF FINANCIAL ECONOMICS,2000,56,3,10.1016/S0304-405X(00)00046-5
A survey of corporate governance,JOURNAL OF FINANCE,1997,52,2,10.1111/j.1540-6261.1997.tb04820.x
A Survey of New Keynesian Theories of Aggregate Supply and Their Relation to Industrial Organization,JOURNAL OF MONEY CREDIT AND BANKING,2011,43,,10.1111/j.1538-4616.2011.00411.x
A synthetic factor approach to the estimation of value-at-risk of a portfolio of interest rate swaps,JOURNAL OF BANKING & FINANCE,2000,24,12,10.1016/S0378-4266(99)00119-3
A tale of two prices: Liquidity and asset prices in multiple markets,JOURNAL OF BANKING & FINANCE,2008,32,6,10.1016/j.jbankfin.2007.07.002
A Tale of Two Rigidities: Sticky Prices in a Sticky-Information Environment,JOURNAL OF MONEY CREDIT AND BANKING,2010,42,8,10.1111/j.1538-4616.2010.00353.x
A tale of values-driven and profit-seeking social investors,JOURNAL OF BANKING & FINANCE,2011,35,8,10.1016/j.jbankfin.2011.01.009
A test for rational bubbles in the NASDAQ stock index: A fractionally integrated approach,JOURNAL OF BANKING & FINANCE,2005,29,10,10.1016/j.jbankfin.2004.10.003
A test of the different implications of the overconfidence and disposition hypotheses,JOURNAL OF BANKING & FINANCE,2011,35,8,10.1016/j.jbankfin.2011.01.018
A test of the errors-in-expectations explanation of the value/glamour stock returns performance: Evidence from analysts' forecasts,JOURNAL OF FINANCE,2002,57,5,10.1111/1540-6261.00491
A test of the Law of One Price in retail banking,JOURNAL OF MONEY CREDIT AND BANKING,2007,39,8,10.1111/j.1538-4616.2007.00096.x
A test of the relative pricing effects of dividends and earnings: Evidence from simultaneous announcements in Japan,JOURNAL OF FINANCE,2000,55,3,10.1111/0022-1082.00245
A theory of bank capital,JOURNAL OF FINANCE,2000,55,6,10.1111/0022-1082.00296
A theory of bank regulation and management compensation,REVIEW OF FINANCIAL STUDIES,2000,13,1,10.1093/rfs/13.1.95
A theory of banking structure,JOURNAL OF BANKING & FINANCE,1999,23,6,10.1016/S0378-4266(98)00123-X
A theory of board control and size,REVIEW OF FINANCIAL STUDIES,2008,21,4,10.1093/rfs/hhl030
A theory of contractual provisions in leasing,JOURNAL OF FINANCIAL INTERMEDIATION,2010,19,1,10.1016/j.jfi.2007.09.002
A theory of corporate capital structure and investment,REVIEW OF FINANCIAL STUDIES,2004,17,4,10.1093/rfs/hhg045
A theory of corporate financial decisions with liquidity and solvency concerns,JOURNAL OF FINANCIAL ECONOMICS,2011,99,2,10.1016/j.jfineco.2010.09.010
A theory of corporate spin-offs,JOURNAL OF FINANCIAL ECONOMICS,2004,72,2,10.1016/j.jfineco.2003.05.002
A Theory of Debt Market Illiquidity and Leverage Cyclicality,REVIEW OF FINANCIAL STUDIES,2011,24,10,10.1093/rfs/hhr051
A theory of dividends based on tax clienteles,JOURNAL OF FINANCE,2000,55,6,10.1111/0022-1082.00298
A theory of equity carve-outs and negative stub values under heterogeneous beliefs,JOURNAL OF FINANCIAL ECONOMICS,2011,100,3,10.1016/j.jfineco.2011.02.017
A theory of friendly boards,JOURNAL OF FINANCE,2007,62,1,10.1111/j.1540-6261.2007.01206.x
A theory of IPO waves,REVIEW OF FINANCIAL STUDIES,2007,20,4,10.1093/revfin/hhm004
"A theory of optimal expropriation, mergers and industry competition",JOURNAL OF BANKING & FINANCE,2011,35,4,10.1016/j.jbankfin.2010.09.011
A theory of pyramidal ownership and family business groups,JOURNAL OF FINANCE,2006,61,6,10.1111/j.1540-6261.2006.01001.x
A theory of socialistic internal capital markets,JOURNAL OF FINANCIAL ECONOMICS,2006,80,3,10.1016/j.jfineco.2005.07.002
A theory of strategic venture investing,JOURNAL OF FINANCIAL ECONOMICS,2002,64,2,10.1016/S0304-405X(02)00078-8
A theory of takeovers and disinvestment,JOURNAL OF FINANCE,2007,62,2,10.1111/j.1540-6261.2007.01224.x
A theory of the going-public decision,REVIEW OF FINANCIAL STUDIES,1999,12,2,10.1093/rfs/12.2.249
A theory of the syndicate: Form follows function,JOURNAL OF FINANCE,2001,56,6,10.1111/0022-1082.00404
A theory of the transition to secondary market trading of IPOs,JOURNAL OF FINANCIAL ECONOMICS,2008,90,3,10.1016/j.jfineco.2007.08.006
A trade-based analysis of momentum,REVIEW OF FINANCIAL STUDIES,2006,19,2,10.1093/rfs/hhj016
A transactions data analysis of nonsynchronous trading,REVIEW OF FINANCIAL STUDIES,1999,12,3,10.1093/rfs/12.3.609
A two-sector approach to modeling U.S. NIPA data,JOURNAL OF MONEY CREDIT AND BANKING,2003,35,4,10.1353/mcb.2003.0032
"A Unified Theory of Tobin's q, Corporate Investment, Financing, and Risk Management",JOURNAL OF FINANCE,2011,66,5,10.1111/j.1540-6261.2011.01681.x
"A unified theory of underreaction, momentum trading, and overreaction in asset markets",JOURNAL OF FINANCE,1999,54,6,10.1111/0022-1082.00184
A value-of-information approach to measuring risk in multi-period economic activity,JOURNAL OF BANKING & FINANCE,2006,30,2,10.1016/j.jbankfin.2005.04.006
A word of caution on calculating market-based minimum capital risk requirements,JOURNAL OF BANKING & FINANCE,2000,24,10,10.1016/S0378-4266(99)00092-8
"A""matching auction"" for targets with heterogeneous bidders",JOURNAL OF FINANCIAL INTERMEDIATION,2003,12,4,10.1016/j.jfi.2003.08.003
Ability of accounting and audit quality variables to predict bank failure during the financial crisis,JOURNAL OF BANKING & FINANCE,2011,35,11,10.1016/j.jbankfin.2011.03.005
Abnormal returns to rivals of acquisition targets: A test of the 'acquisition probability hypothesis',JOURNAL OF FINANCIAL ECONOMICS,2000,55,2,10.1016/S0304-405X(99)00048-3
"Absolute priority rule violations, credit rationing, and efficiency",JOURNAL OF FINANCIAL INTERMEDIATION,1997,6,3,10.1006/jfin.1997.0220
Accelerated investment effect of risky debt,JOURNAL OF BANKING & FINANCE,2010,34,11,10.1016/j.jbankfin.2010.04.015
Accelerated share repurchases,JOURNAL OF FINANCIAL ECONOMICS,2011,101,1,10.1016/j.jfineco.2011.02.004
"Access to Capital, Capital Structure, and the Funding of the Firm",JOURNAL OF FINANCE,2009,64,1,10.1111/j.1540-6261.2008.01434.x
Access to external finance: Theory and evidence on the impact of monetary policy and firm-specific characteristics,JOURNAL OF BANKING & FINANCE,2006,30,1,10.1016/j.jbankfin.2005.01.002
Access to financing and firm growth,JOURNAL OF BANKING & FINANCE,2011,35,3,10.1016/j.jbankfin.2010.09.005
"Accountability, transparency, and inflation targeting",JOURNAL OF MONEY CREDIT AND BANKING,2003,35,5,10.1353/mcb.2003.0041
Accounting and capital market measures of risk: Evidence from Asian banks during 1998-2003,JOURNAL OF BANKING & FINANCE,2008,32,4,10.1016/j.jbankfin.2006.06.018
Accounting for a shift in term structure behavior with no-arbitrage and macro-finance models,JOURNAL OF MONEY CREDIT AND BANKING,2007,39,2-3,10.1111/j.0022-2879.2007.00030.x
Accounting for distress in bank mergers,JOURNAL OF BANKING & FINANCE,2007,31,10,10.1016/j.jbankfin.2006.12.009
Accounting for the East Asian crisis: A quantitative model of capital outflows in small open econornies,JOURNAL OF MONEY CREDIT AND BANKING,2006,38,3,10.1353/mcb.2006.0040
Accounting for trends in productivity and R&D: A Schumpeterian critique of semi-endogenous growth theory,JOURNAL OF MONEY CREDIT AND BANKING,2007,39,4,10.1111/j.1538-4616.2007.00045.x
Accounting for U.S. regional real exchange rates,JOURNAL OF MONEY CREDIT AND BANKING,2006,38,1,10.1353/mcb.2006.0013
Accounting transparency and the term structure of credit spreads,JOURNAL OF FINANCIAL ECONOMICS,2005,75,1,10.1016/j.jfineco.2004.07.002
Accounting-based versus market-based cross-sectional models of CDS spreads,JOURNAL OF BANKING & FINANCE,2009,33,4,10.1016/j.jbankfin.2008.11.003
"Accruals, cash flows, and aggregate stock returns",JOURNAL OF FINANCIAL ECONOMICS,2009,91,3,10.1016/j.jfineco.2007.11.009
Accurate minimum capital risk requirements: A comparison of several approaches,JOURNAL OF BANKING & FINANCE,2008,32,11,10.1016/j.jbankfin.2008.05.003
Acquisition premiums when investment banks invest their own money in the deals they advise and when they do not: Evidence from acquisitions of assets in the UK,JOURNAL OF BANKING & FINANCE,2003,27,10,10.1016/S0378-4266(02)00312-6
Acquisition Targets and Motives in the Banking Industry,JOURNAL OF MONEY CREDIT AND BANKING,2009,41,6,10.1111/j.1538-4616.2009.00251.x
Acquisition Values and Optimal Financial (In)Flexibility,REVIEW OF FINANCIAL STUDIES,2010,23,7,10.1093/rfs/hhq017
Acquisitions as a means of restructuring firms in chapter 11,JOURNAL OF FINANCIAL INTERMEDIATION,1998,7,3,10.1006/jfin.1998.0243
Acquisitions of solvent thrifts: Wealth effects and managerial motivations,JOURNAL OF BANKING & FINANCE,1997,21,10,10.1016/S0378-4266(97)00026-5
Active portfolio management with benchmarking: A frontier based on alpha,JOURNAL OF BANKING & FINANCE,2010,34,9,10.1016/j.jbankfin.2010.02.005
Activist arbitrage: A study of open-ending attempts of closed-end funds,JOURNAL OF FINANCIAL ECONOMICS,2010,95,1,10.1016/j.jfineco.2009.01.005
Actual share reacquisitions in open-market repurchase programs,JOURNAL OF FINANCE,1998,53,1,10.1111/0022-1082.115194
"Actual share repurchases, timing and liquidity",JOURNAL OF BANKING & FINANCE,2007,31,3,10.1016/j.jbankfin.2006.07.006
Adam Smith's support for money and banking regulation: A case of inconsistency,JOURNAL OF MONEY CREDIT AND BANKING,1997,29,1,10.2307/2953690
Adapting prices or quantities in the presence of adjustment costs?,JOURNAL OF MONEY CREDIT AND BANKING,2004,36,2,10.1353/mcb.2004.0009
Adaptive learning and monetary policy design,JOURNAL OF MONEY CREDIT AND BANKING,2003,35,6,10.1353/mcb.2004.0026
Adaptive learning in financial markets,REVIEW OF FINANCIAL STUDIES,1999,12,5,10.1093/rfs/12.5.1165
Adaptive traders and the design of financial markets,JOURNAL OF FINANCE,2007,62,6,10.1111/j.1540-6261.2007.01294.x
Adding and subtracting Black-Scholes: A new approach to approximating derivative prices in continuous-time models,JOURNAL OF FINANCIAL ECONOMICS,2011,102,2,10.1016/j.jfineco.2011.05.007
Additional evidence of long-run purchasing power parity with restricted structural change,JOURNAL OF MONEY CREDIT AND BANKING,2006,38,5,10.1353/mcb.2006.0073
ADR holdings of US-based emerging market funds,JOURNAL OF BANKING & FINANCE,2007,31,6,10.1016/j.jbankfin.2006.11.004
Advantageous innovation and imitation in the underwriting market for corporate securities,JOURNAL OF BANKING & FINANCE,2011,35,5,10.1016/j.jbankfin.2010.09.019
Adverse selection and competitive market making: Empirical evidence from a limit order market,REVIEW OF FINANCIAL STUDIES,2001,14,3,10.1093/rfs/14.3.705
Adverse selection and the required return,REVIEW OF FINANCIAL STUDIES,2004,17,3,10.1093/rfs/hhg032
"Adverse selection costs, trading activity and price discovery in the NYSE: An empirical analysis",JOURNAL OF BANKING & FINANCE,2004,28,1,10.1016/S0378-4266(02)00400-4
"Adverse selection, brokerage coverage, and trading activity on the Tokyo Stock Exchange",JOURNAL OF BANKING & FINANCE,2005,29,6,10.1016/j.jbankfin.2004.05.039
"Advertising, breadth of ownership, and liquidity",REVIEW OF FINANCIAL STUDIES,2004,17,2,10.1093/rfs/hhg039
Advisors and asset prices: A model of the origins of bubbles,JOURNAL OF FINANCIAL ECONOMICS,2008,89,2,10.1016/j.jfineco.2007.09.001
Affiliated firms and financial support: Evidence from Indian business groups,JOURNAL OF FINANCIAL ECONOMICS,2007,86,3,10.1016/j.jfineco.2006.09.008
Affiliated mutual funds and analyst optimism,JOURNAL OF FINANCIAL ECONOMICS,2009,93,1,10.1016/j.jfineco.2008.06.006
Affiliated mutual funds and the allocation of initial public offerings,JOURNAL OF FINANCIAL ECONOMICS,2007,86,2,10.1016/j.jfineco.2006.08.005
Affine term structure models and the forward premium anomaly,JOURNAL OF FINANCE,2001,56,1,10.1111/0022-1082.00325
Affirmative obligations and market making with inventory,JOURNAL OF FINANCIAL ECONOMICS,2007,86,2,10.1016/j.jfineco.2006.11.002
"African SMES, networks, and manufacturing performance",JOURNAL OF BANKING & FINANCE,2006,30,11,10.1016/j.jbankfin.2006.05.004
After-tax term structures of real interest rates: Inferences from the UK linked and non-linked gilt markets,JOURNAL OF BANKING & FINANCE,2000,24,9,10.1016/S0378-4266(99)00087-4
Agency and brokerage of real assets in competitive equilibrium,REVIEW OF FINANCIAL STUDIES,1998,11,2,10.1093/rfs/11.2.239
Agency and optimal investment dynamics,REVIEW OF FINANCIAL STUDIES,2007,20,1,10.1093/rfs/hhl004
Agency conflicts in public and negotiated transfers of corporate control,JOURNAL OF FINANCE,2000,55,2,10.1111/0022-1082.00222
"Agency conflicts, investment, and asset pricing",JOURNAL OF FINANCE,2008,63,1,10.1111/j.1540-6261.2008.01309.x
"Agency conflicts, ownership concentration, and legal shareholder protection",JOURNAL OF FINANCIAL INTERMEDIATION,2006,15,1,10.1016/j.jfi.2004.12.004
Agency costs and ownership structure,JOURNAL OF FINANCE,2000,55,1,10.1111/0022-1082.00201
"Agency costs, governance, and organizational forms: Evidence from the mutual fund industry",JOURNAL OF BANKING & FINANCE,2009,33,4,10.1016/j.jbankfin.2008.12.003
"Agency costs, ownership structure and corporate governance mechanisms",JOURNAL OF BANKING & FINANCE,2003,27,5,10.1016/S0378-4266(01)00260-6
"Agency costs, risk management, and capital structure",JOURNAL OF FINANCE,1998,53,4,10.1111/0022-1082.00051
Agency problems and dividend policies around the world,JOURNAL OF FINANCE,2000,55,1,10.1111/0022-1082.00199
Agency Problems at Dual-Class Companies,JOURNAL OF FINANCE,2009,64,4,10.1111/j.1540-6261.2009.01477.x
"Agency problems, equity ownership, and corporate diversification",JOURNAL OF FINANCE,1997,52,1,10.2307/2329559
"Agency problems, information asymmetries, and convertible debt security design",JOURNAL OF FINANCIAL INTERMEDIATION,1998,7,1,10.1006/jfin.1998.0231
"Agent-based learning in 'islands' with, sticky information': An explanation for the persistence of real effects",JOURNAL OF MONEY CREDIT AND BANKING,2006,38,1,10.1353/mcb.2006.0015
Agents watching agents?: evidence from pension fund ownership and firm value,JOURNAL OF FINANCIAL ECONOMICS,2002,63,1,10.1016/S0304-405X(01)00091-5
Aggregate insider trading: Contrarian beliefs or superior information?,JOURNAL OF BANKING & FINANCE,2010,34,6,10.1016/j.jbankfin.2009.11.016
Aggregate price effects of institutional trading: a study of mutual fund flow and market returns,JOURNAL OF FINANCIAL ECONOMICS,2001,59,2,10.1016/S0304-405X(00)00085-4
"Aggregate supply, investment in capacity, and potential output",JOURNAL OF MONEY CREDIT AND BANKING,2005,37,1,10.1353/mcb.2005.0008
Aligning debt and equity claimant interests: Evidence from dual claim investors,JOURNAL OF BANKING & FINANCE,2009,33,12,10.1016/j.jbankfin.2009.05.023
All that glitters: The effect of attention and news on the buying behavior of individual and institutional investors,REVIEW OF FINANCIAL STUDIES,2008,21,2,10.1093/rfs/hhm079
All the News That's Fit to Reprint: Do Investors React to Stale Information?,REVIEW OF FINANCIAL STUDIES,2011,24,5,10.1093/rfs/hhq141
Allocation of initial public offerings and flipping activity,JOURNAL OF FINANCIAL ECONOMICS,2003,68,1,10.1016/S0304-405X(02)00250-7
"Allocations, adverse selection, and cascades in IPOs: evidence from the Tel Aviv Stock Exchange",JOURNAL OF FINANCIAL ECONOMICS,2003,68,1,10.1016/S0304-405X(02)00251-9
Altering the terms of executive stock options,JOURNAL OF FINANCIAL ECONOMICS,2000,57,1,10.1016/S0304-405X(00)00052-0
"Alternative factor specifications, security characteristics, and the cross-section of expected stock returns",JOURNAL OF FINANCIAL ECONOMICS,1998,49,3,10.1016/S0304-405X(98)00028-2
"Alternative flotation methods, adverse selection, and ownership structure: evidence from seasoned equity issuance in the U.K.",JOURNAL OF FINANCIAL ECONOMICS,2000,57,2,10.1016/S0304-405X(00)00054-4
Alternative measures of the Federal Reserve Banks' cost of equity capital,JOURNAL OF BANKING & FINANCE,2006,30,6,10.1016/j.jbankfin.2005.09.005
Alternative models for hedging yield curve risk: An empirical comparison,JOURNAL OF BANKING & FINANCE,2011,35,11,10.1016/j.jbankfin.2011.04.002
Alternatives for Distressed Banks during the Great Depression,JOURNAL OF MONEY CREDIT AND BANKING,2010,42,2-3,10.1111/j.1538-4616.2009.00293.x
Amazing discovery: Vincenz Bronzin's option pricing models,JOURNAL OF BANKING & FINANCE,2007,31,2,10.1016/j.jbankfin.2006.07.003
Ambiguity and Nonparticipation: The Role of Regulation,REVIEW OF FINANCIAL STUDIES,2009,22,5,10.1093/rfs/hhn100
Ambiguity Aversion and the Term Structure of Interest Rates,REVIEW OF FINANCIAL STUDIES,2009,22,10,10.1093/rfs/hhn092
Ambiguity in Asset Markets: Theory and Experiment,REVIEW OF FINANCIAL STUDIES,2010,23,4,10.1013/rfs/hhp106
"Ambiguity, information quality, and asset pricing",JOURNAL OF FINANCE,2008,63,1,10.1111/j.1540-6261.2008.01314.x
"Ambiguous Information, Portfolio Inertia, and Excess Volatility",JOURNAL OF FINANCE,2011,66,6,10.1111/j.1540-6261.2011.01693.x
America's historical experience with low inflation,JOURNAL OF MONEY CREDIT AND BANKING,2000,32,4,10.2307/2601154
American GARCH employee stock option valuation,JOURNAL OF BANKING & FINANCE,2009,33,6,10.1016/j.jbankfin.2008.12.012
An advanced perspective on the predictability in hedge fund returns,JOURNAL OF BANKING & FINANCE,2010,34,11,10.1016/j.jbankfin.2010.05.005
An alternative valuation model for contingent claims,JOURNAL OF FINANCIAL ECONOMICS,1997,44,1,10.1016/S0304-405X(96)00009-8
An analysis and critique of the BIS proposal on capital adequacy and ratings,JOURNAL OF BANKING & FINANCE,2001,25,1,10.1016/S0378-4266(00)00116-3
An analysis of bidding in the Japanese Government Bond auctions,JOURNAL OF FINANCE,1998,53,2,10.1111/0022-1082.305342
An analysis of compensation in the U.S. venture capital partnership,JOURNAL OF FINANCIAL ECONOMICS,1999,51,1,10.1016/S0304-405X(98)00042-7
An analysis of competitive externalities in gross settlement systems,JOURNAL OF BANKING & FINANCE,1998,22,1,10.1016/S0378-4266(97)00043-5
An analysis of contagion and competitive effects at commercial banks,JOURNAL OF FINANCIAL ECONOMICS,1999,54,2,10.1016/S0304-405X(99)00036-7
An analysis of covariance risk and pricing anomalies,REVIEW OF FINANCIAL STUDIES,2003,16,2,10.1093/rfs/hhg007
An analysis of default correlations and multiple defaults,REVIEW OF FINANCIAL STUDIES,2001,14,2,10.1093/rfs/14.2.555
"An analysis of depth behavior in an electronic, order-driven environment",JOURNAL OF BANKING & FINANCE,1999,23,12,10.1016/S0378-4266(99)00044-8
An analysis of finance journal impact factors,JOURNAL OF FINANCE,2000,55,3,10.1111/0022-1082.00254
An analysis of IMF-induced moral hazard,JOURNAL OF BANKING & FINANCE,2004,28,12,10.1016/j.jbankfin.2003.10.016
An analysis of intraday patterns in price clustering on the Tokyo Stock Exchange,JOURNAL OF BANKING & FINANCE,2006,30,3,10.1016/j.jbankfin.2005.07.017
An analysis of mutual fund design: the case of investing in small-cap stocks,JOURNAL OF FINANCIAL ECONOMICS,1999,51,2,10.1016/S0304-405X(98)00049-X
An analysis of portfolio selection with background risk,JOURNAL OF BANKING & FINANCE,2010,34,12,10.1016/j.jbankfin.2010.07.013
An analysis of the determinants and shareholder wealth effects of mutual fund mergers,JOURNAL OF FINANCE,2002,57,3,10.1111/1540-6261.00468
An analysis of the disposition of assets in a joint venture,JOURNAL OF BANKING & FINANCE,2007,31,9,10.1016/j.jbankfin.2006.09.014
An analysis of the implications of uncertainty and agency problems on the wealth effects to acquirers of private firms,JOURNAL OF BANKING & FINANCE,2008,32,5,10.1016/j.jbankfin.2007.07.001
An analysis of the liquidity benefits provided by secondary markets,JOURNAL OF BANKING & FINANCE,2009,33,2,10.1016/j.jbankfin.2008.08.008
An analysis of the true notional bond system applied to the CBOT T-bond futures,JOURNAL OF BANKING & FINANCE,2009,33,3,10.1016/j.jbankfin.2008.09.006
An analysis of trade-size clustering and its relation to stealth trading,JOURNAL OF FINANCIAL ECONOMICS,2007,84,2,10.1016/j.jfineco.2006.02.005
An analysis of value destruction and recovery in the alliance and proposed merger of Volvo and Renault,JOURNAL OF FINANCIAL ECONOMICS,1999,51,1,10.1016/S0304-405X(98)00046-4
An analysis of VaR-based capital requirements,JOURNAL OF FINANCIAL INTERMEDIATION,2006,15,3,10.1016/j.jfi.2005.07.001
An analytic approach to credit risk of large corporate bond and loan portfolios,JOURNAL OF BANKING & FINANCE,2001,25,9,10.1016/S0378-4266(00)00147-3
An anatomy of rating through the cycle,JOURNAL OF BANKING & FINANCE,2004,28,3,10.1016/S0378-4266(03)00041-4
An anatomy of trading strategies,REVIEW OF FINANCIAL STUDIES,1998,11,3,10.1093/rfs/11.3.489
An appreciation of Lawrence G Goldberg,JOURNAL OF BANKING & FINANCE,2005,29,10,10.1016/j.jbankfin.2005.03.020
An approximation method for analysis and valuation of credit correlation derivatives,JOURNAL OF BANKING & FINANCE,2006,30,2,10.1016/j.jbankfin.2005.04.028
An asymptotic theory for estimating beta-pricing models using cross-sectional regression,JOURNAL OF FINANCE,1998,53,4,10.1111/0022-1082.00053
An econometric analysis of emission allowance prices,JOURNAL OF BANKING & FINANCE,2008,32,10,10.1016/j.jbankfin.2007.09.024
An econometric model of serial correlation and illiquidity in hedge fund returns,JOURNAL OF FINANCIAL ECONOMICS,2004,74,3,10.1016/j.jfineco.2004.04.001
An econometric model of the term structure of interest-rate swap yields,JOURNAL OF FINANCE,1997,52,4,10.1111/j.1540-6261.1997.tb01111.x
An economic capital model integrating credit and interest rate risk in the banking book,JOURNAL OF BANKING & FINANCE,2010,34,4,10.1016/j.jbankfin.2009.06.012
An Economic Evaluation of Empirical Exchange Rate Models,REVIEW OF FINANCIAL STUDIES,2009,22,9,10.1093/rfs/hhn058
An empirical analysis of aggregate household portfolios,JOURNAL OF BANKING & FINANCE,2008,32,8,10.1016/j.jbankfin.2007.11.010
An empirical analysis of analysts' target prices: Short-term informativeness and long-term dynamics,JOURNAL OF FINANCE,2003,58,5,10.1111/1540-6261.00593
An empirical analysis of herd behavior in global stock markets,JOURNAL OF BANKING & FINANCE,2010,34,8,10.1016/j.jbankfin.2009.12.014
An empirical analysis of home equity loan and line performance,JOURNAL OF FINANCIAL INTERMEDIATION,2006,15,4,10.1016/j.jfi.2005.03.002
An empirical analysis of incremental capital structure decisions under managerial entrenchment,JOURNAL OF BANKING & FINANCE,2001,25,10,10.1016/S0378-4266(00)00163-1
An empirical analysis of NYSE specialist trading,JOURNAL OF FINANCIAL ECONOMICS,1998,48,2,10.1016/S0304-405X(98)00008-7
An empirical analysis of personal bankruptcy and delinquency,REVIEW OF FINANCIAL STUDIES,2002,15,1,10.1093/rfs/15.1.319
An empirical analysis of stock and bond market liquidity,REVIEW OF FINANCIAL STUDIES,2005,18,1,10.1093/rfs/hhi010
An empirical analysis of the dynamic relation between investment-grade bonds and credit default swaps,JOURNAL OF FINANCE,2005,60,5,10.1111/j.1540-6261.2005.00798.x
An empirical analysis of the dynamic relationship between mutual fund flow and market return volatility,JOURNAL OF BANKING & FINANCE,2008,32,10,10.1016/j.jbankfin.2007.12.035
An empirical analysis of the pricing of collateralized debt obligations,JOURNAL OF FINANCE,2008,63,2,10.1111/j.1540-6261.2008.01330.x
An empirical comparison of continuous-time models of implied volatility indices,JOURNAL OF BANKING & FINANCE,2007,31,12,10.1016/j.jbankfin.2007.01.011
An empirical comparison of forward-rate and spot-rate models for valuing interest-rate options,JOURNAL OF FINANCE,1999,54,1,10.1111/0022-1082.00104
An empirical evaluation of the overconfidence hypothesis,JOURNAL OF BANKING & FINANCE,2006,30,9,10.1016/j.jbankfin.2005.08.007
An empirical examination of basic valuation models for plain vanilla U.S. interest rate swaps,JOURNAL OF FINANCIAL ECONOMICS,1997,44,2,10.1016/S0304-405X(97)00005-6
An empirical examination of the amortized spread,JOURNAL OF FINANCIAL ECONOMICS,1998,48,2,10.1016/S0304-405X(98)00007-5
An empirical examination of the convexity bias in the pricing of interest rate swaps,JOURNAL OF FINANCIAL ECONOMICS,2000,55,2,10.1016/S0304-405X(99)00051-3
An empirical examination of the costs and benefits of executive stock options: Evidence from Japan,JOURNAL OF FINANCIAL ECONOMICS,2005,78,2,10.1016/j.jfineco.2004.09.001
An empirical examination of the role of the CEO and the compensation committee in structuring executive pay,JOURNAL OF BANKING & FINANCE,2003,27,7,10.1016/S0378-4266(02)00259-5
An empirical investigation of continuous-time equity return models,JOURNAL OF FINANCE,2002,57,3,10.1111/1540-6261.00460
An empirical test of agency cost reduction using interest rate swaps,JOURNAL OF BANKING & FINANCE,2000,24,9,10.1016/S0378-4266(99)00098-9
"An equilibrium analysis of hedging with liquidity constraints, speculation, and government price subsidy in a commodity market",JOURNAL OF FINANCE,1998,53,5,10.1111/0022-1082.00069
An equilibrium model of asset pricing and moral hazard,REVIEW OF FINANCIAL STUDIES,2005,18,4,10.1093/rfs/hhi025
An equilibrium model of incentive contracts in the presence of information manipulation,JOURNAL OF FINANCIAL ECONOMICS,2006,80,3,10.1016/j.jfineco.2005.05.007
An equilibrium model of investment under uncertainty,REVIEW OF FINANCIAL STUDIES,2007,20,5,10.1093/revfin/hhm013
An equilibrium model of irreversible investment,JOURNAL OF FINANCIAL ECONOMICS,2001,62,2,10.1016/S0304-405X(01)00077-0
An equilibrium model of rare-event premia and its implication for option smirks,REVIEW OF FINANCIAL STUDIES,2005,18,1,10.1093/rfs/hhi011
An equilibrium model with restricted stock market participation,REVIEW OF FINANCIAL STUDIES,1998,11,2,10.1093/rfs/11.2.309
An essay on financial innovation: The case of instalment receipts,JOURNAL OF BANKING & FINANCE,2004,28,1,10.1016/S0378-4266(02)00401-6
An Estimated Monetary DSGE Model with Unemployment and Staggered Nominal Wage Bargaining,JOURNAL OF MONEY CREDIT AND BANKING,2008,40,8,10.1111/j.1538-4616.2008.00180.x
An evaluation of alternative monetary policy rules in a model with capacity constraints,JOURNAL OF MONEY CREDIT AND BANKING,2001,33,1,10.2307/2673871
An evaluation of contingent immunization,JOURNAL OF BANKING & FINANCE,2009,33,10,10.1016/j.jbankfin.2009.04.008
An examination of alternative CAPM-based models in UK stock returns,JOURNAL OF BANKING & FINANCE,2005,29,12,10.1016/j.jbankfin.2004.11.002
An examination of changes in specialists' posted price schedules,REVIEW OF FINANCIAL STUDIES,2001,14,3,10.1093/rfs/14.3.681
An examination of cost structure and production performance of commercial banks in Singapore,JOURNAL OF BANKING & FINANCE,2002,26,1,10.1016/S0378-4266(00)00172-2
An examination of executive stock option repricing,JOURNAL OF FINANCIAL ECONOMICS,2001,61,2,10.1016/S0304-405X(01)00060-5
An examination of herd behavior in equity markets: An international perspective,JOURNAL OF BANKING & FINANCE,2000,24,10,10.1016/S0378-4266(99)00096-5
An examination of long-term abnormal stock returns and operating performance following R&D increases,JOURNAL OF FINANCE,2004,59,2,10.1111/j.1540-6261.2004.00644.x
An examination of own account trading by dual traders in futures markets,JOURNAL OF FINANCIAL ECONOMICS,2003,69,2,10.1016/S0304-405X(03)00117-X
An examination of uncovered interest rate parity in segmented international commodity markets,JOURNAL OF FINANCE,1997,52,5,10.1111/j.1540-6261.1997.tb02756.x
An examination of Value Line's long-term projections,JOURNAL OF BANKING & FINANCE,2008,32,5,10.1016/j.jbankfin.2007.06.002
An exploration of Neo-Austrian theory applied to financial markets,JOURNAL OF FINANCE,2001,56,3,10.1111/0022-1082.00353
An exploration of the forward premium puzzle in currency markets,REVIEW OF FINANCIAL STUDIES,1997,10,2,10.1093/rfs/10.2.369
"An exploratory analysis of the order book, and order flow and execution on the Saudi stock market",JOURNAL OF BANKING & FINANCE,2000,24,8,10.1016/S0378-4266(99)00075-8
An FFT-network for Levy option pricing,JOURNAL OF BANKING & FINANCE,2011,35,4,10.1016/j.jbankfin.2010.09.014
An international comparison of banks' equity returns,JOURNAL OF MONEY CREDIT AND BANKING,1998,30,3,10.2307/2601251
An introduction to recent research on credit ratings,JOURNAL OF BANKING & FINANCE,2004,28,11,10.1016/j.jbankfin.2004.06.002
An investigation of customer order flow in the foreign exchange market,JOURNAL OF BANKING & FINANCE,2011,35,8,10.1016/j.jbankfin.2010.12.003
An investigation of the informational role of short interest in the Nasdaq market,JOURNAL OF FINANCE,2002,57,5,10.1111/0022-1082.00495
An isomorphism between asset pricing models with and without linear habit formation,REVIEW OF FINANCIAL STUDIES,2002,15,4,10.1093/rfs/15.4.1189
"An open-economy macro-finance model of international interdependence: The OECD, US and the UK",JOURNAL OF BANKING & FINANCE,2010,34,3,10.1016/j.jbankfin.2009.09.006
An optimizing IS-LM specification for monetary policy and business cycle analysis,JOURNAL OF MONEY CREDIT AND BANKING,1999,31,3,10.2307/2601113
An overview of the conference sessions,JOURNAL OF BANKING & FINANCE,2003,27,9,10.1016/S0378-4266(03)00090-6
An Unobserved Components Model of the Yield Curve,JOURNAL OF MONEY CREDIT AND BANKING,2010,42,8,10.1111/j.1538-4616.2010.00356.x
Analysing the determinants of performance of best and worst European banks: A mixed logit approach,JOURNAL OF BANKING & FINANCE,2007,31,7,10.1016/j.jbankfin.2006.11.010
Analysis of criteria VaR and CVaR,JOURNAL OF BANKING & FINANCE,2006,30,2,10.1016/j.jbankfin.2005.04.003
"Analyst behavior following IPOs: The ""Bubble Period"" evidence",REVIEW OF FINANCIAL STUDIES,2008,21,1,10.1093/rfs/hhl028
"Analyst characteristics, timing of forecast revisions, and analyst forecasting ability",JOURNAL OF BANKING & FINANCE,2011,35,8,10.1016/j.jbankfin.2011.01.006
Analyst coverage and earnings management,JOURNAL OF FINANCIAL ECONOMICS,2008,88,2,10.1016/j.jfineco.2007.05.008
Analyst coverage and financing decisions,JOURNAL OF FINANCE,2006,61,6,10.1111/j.1540-6261.2006.01010.x
"Analyst disagreement, mispricing, and liquidity",JOURNAL OF FINANCE,2007,62,5,10.1111/j.1540-6261.2007.01278.x
Analyst following of initial public offerings,JOURNAL OF FINANCE,1997,52,2,10.1111/j.1540-6261.1997.tb04811.x
Analyst hype in IPOs: Explaining the popularity of bookbuilding,REVIEW OF FINANCIAL STUDIES,2007,20,4,10.1093/revfin/hhm010
Analysts' selective coverage and subsequent performance of newly public firms,JOURNAL OF FINANCE,2006,61,3,10.1111/j.1540-6261.2006.00869.x
Analysts' weighting of private and public information,REVIEW OF FINANCIAL STUDIES,2006,19,1,10.1093/rfs/hhj007
Analytic pricing of employee stock options,REVIEW OF FINANCIAL STUDIES,2008,21,2,10.1093/rfs/hhm065
Analytic valuation formulas for range notes and an affine term structure model with jump risks,JOURNAL OF BANKING & FINANCE,2010,34,9,10.1016/j.jbankfin.2010.01.019
Analytical pricing of discretely monitored Asian-style options: Theory and application to commodity markets,JOURNAL OF BANKING & FINANCE,2008,32,10,10.1016/j.jbankfin.2007.12.024
Analyzing alternative intraday credit policies in real-time gross settlement systems,JOURNAL OF MONEY CREDIT AND BANKING,1998,30,4,10.2307/2601131
Analyzing investments whose histories differ in length,JOURNAL OF FINANCIAL ECONOMICS,1997,45,3,10.1016/S0304-405X(97)00020-2
Analyzing joint ventures as corporate control activity,JOURNAL OF BANKING & FINANCE,2007,31,8,10.1016/j.jbankfin.2006.09.009
Analyzing rating transitions and rating drift with continuous observations,JOURNAL OF BANKING & FINANCE,2002,26,2-3,10.1016/S0378-4266(01)00228-X
Analyzing the analysts: Career concerns and biased earnings forecasts,JOURNAL OF FINANCE,2003,58,1,10.1111/1540-6261.00526
Analyzing the analysts: When do recommendations add value?,JOURNAL OF FINANCE,2004,59,3,10.1111/j.1540-6261.2004.00657.x
Analyzing the impact of credit migration in a portfolio setting,JOURNAL OF BANKING & FINANCE,2011,35,12,10.1016/j.jbankfin.2010.09.027
Analyzing the Tax Benefits from Employee Stock Options,JOURNAL OF FINANCE,2009,64,4,10.1111/j.1540-6261.2009.01480.x
Analyzing US Output and the Great Moderation by Simultaneous Unobserved Components,JOURNAL OF MONEY CREDIT AND BANKING,2011,43,8,10.1111/j.1538-4616.2011.00459.x
Ancient redwoods and the politics of finance: the hostile takeover of the Pacific Lumber Company,JOURNAL OF FINANCIAL ECONOMICS,1998,47,1,10.1016/S0304-405X(97)00036-6
Angel investors and the market for angel investments,JOURNAL OF BANKING & FINANCE,1998,22,6-8,10.1016/S0378-4266(98)00044-2
Announcement effects of convertible bond loans and warrant-bond loans: An empirical analysis for the Dutch market,JOURNAL OF BANKING & FINANCE,1998,22,12,10.1016/S0378-4266(98)00055-7
Announcements and the effectiveness of monetary policy: A view from the US prime rate,JOURNAL OF BANKING & FINANCE,2009,33,12,10.1016/j.jbankfin.2009.06.002
Anomalies,REVIEW OF FINANCIAL STUDIES,2009,22,11,10.1093/rfs/hhp023
"Anonymity, adverse selection, and the sorting of interdealer trades",REVIEW OF FINANCIAL STUDIES,2005,18,2,10.1093/rfs/hhi005
Another example of a credit system that co-exists with money,JOURNAL OF MONEY CREDIT AND BANKING,2008,40,6,10.1111/j.1538-4616.2008.00158.x
Another look at the role of the industrial structure of markets for international diversification strategies,JOURNAL OF FINANCIAL ECONOMICS,1998,50,3,10.1016/S0304-405X(98)00041-5
Another perspective on the effects of inflation uncertainty,JOURNAL OF MONEY CREDIT AND BANKING,2004,36,5,10.1353/mcb.2004.0073
"Anticipation, Acquisitions, and Bidder Returns: Industry Shocks and the Transfer of Information across Rivals",REVIEW OF FINANCIAL STUDIES,2011,24,7,10.1093/rfs/hhr035
Anticipations of monetary policy in financial markets,JOURNAL OF MONEY CREDIT AND BANKING,2003,35,6,10.1353/mcb.2003.0044
Anticompetitive financial contracting: The design of financial claims,JOURNAL OF FINANCE,2003,58,5,10.1111/1540-6261.00599
Antitakeover provisions in corporate spin-offs,JOURNAL OF BANKING & FINANCE,2010,34,4,10.1016/j.jbankfin.2009.09.011
Appearing and disappearing dividends: The link to catering incentives,JOURNAL OF FINANCIAL ECONOMICS,2004,73,2,10.1016/j.jfineco.2003.08.001
Applying CVaR for decentralized risk management of financial companies,JOURNAL OF BANKING & FINANCE,2006,30,2,10.1016/j.jbankfin.2005.04.010
Approximating the asset pricing kernel,JOURNAL OF FINANCE,1997,52,4,10.1111/j.1540-6261.1997.tb01114.x
Approximation and calibration of short-term implied volatilities under jump-diffusion stochastic volatility,REVIEW OF FINANCIAL STUDIES,2007,20,2,10.1093/rfs/hhl013
Arbitrage and the expectations hypothesis,JOURNAL OF FINANCE,2000,55,2,10.1111/0022-1082.00234
Arbitrage bounds in markets with noisy prices and the puzzle of negative option prices implicit in bonds,JOURNAL OF BANKING & FINANCE,2002,26,6,10.1016/S0378-4266(01)00172-8
Arbitrage risk and the book-to-market anomaly,JOURNAL OF FINANCIAL ECONOMICS,2003,69,2,10.1016/S0304-405X(03)00116-8
Arbitrage-free credit pricing using default probabilities and risk sensitivities,JOURNAL OF BANKING & FINANCE,2011,35,2,10.1016/j.jbankfin.2010.08.005
"Arbitrage, hedging, and financial innovation",REVIEW OF FINANCIAL STUDIES,1998,11,4,10.1093/rfs/11.4.739
Arbitraging arbitrageurs,JOURNAL OF FINANCE,2005,60,5,10.1111/j.1540-6261.2005.00805.x
"Are ""Market Neutral"" Hedge Funds Really Market Neutral?",REVIEW OF FINANCIAL STUDIES,2009,22,7,10.1093/rfs/hhn113
Are all Central Bank interventions created equal? An empirical investigation,JOURNAL OF BANKING & FINANCE,2004,28,3,10.1016/S0378-4266(02)00410-7
Are all CEOs above average? An empirical analysis of compensation peer groups and pay design,JOURNAL OF FINANCIAL ECONOMICS,2011,100,3,10.1016/j.jfineco.2011.02.007
Are All Inside Directors the Same? Evidence from the External Directorship Market,JOURNAL OF FINANCE,2011,66,3,10.1111/j.1540-6261.2011.01653.x
Are bank holding companies a source of strength to their banking subsidiaries?,JOURNAL OF MONEY CREDIT AND BANKING,2008,40,2-3,10.1111/j.1538-4616.2008.00113.x
Are bank shareholders enemies of regulators or a potential source of market discipline?,JOURNAL OF BANKING & FINANCE,2007,31,8,10.1016/j.jbankfin.2006.10.025
Are banks risk averse? Intraday timing of operations in the interbank market,JOURNAL OF MONEY CREDIT AND BANKING,2000,32,1,10.2307/2601092
Are busy boards effective monitors?,JOURNAL OF FINANCE,2006,61,2,10.1111/j.1540-6261.2006.00852.x
Are capital buffers pro-cyclical? Evidence from Spanish panel data,JOURNAL OF FINANCIAL INTERMEDIATION,2004,13,2,10.1016/S1042-9573(03)00044-5
Are cash acquisitions associated with better postcombination operating performance than stock acquisitions?,JOURNAL OF BANKING & FINANCE,2001,25,6,10.1016/S0378-4266(00)00108-4
Are Competitive Banking Systems More Stable ?,JOURNAL OF MONEY CREDIT AND BANKING,2009,41,4,10.1111/j.1538-4616.2009.00228.x
Are convertible bonds underpriced? An analysis of the French market,JOURNAL OF BANKING & FINANCE,2003,27,4,10.1016/S0378-4266(01)00256-4
Are cooperatives the weakest link in European banking? A non-parametric metafrontier approach,JOURNAL OF BANKING & FINANCE,2010,34,8,10.1016/j.jbankfin.2010.01.003
Are credit ratings procyclical?,JOURNAL OF BANKING & FINANCE,2004,28,11,10.1016/j.jbankfin.2004.06.005
Are current syndicated loan alliances related to past alliances?,JOURNAL OF BANKING & FINANCE,2007,31,10,10.1016/j.jbankfin.2006.11.018
Are dividends disappearing? Dividend concentration and the consolidation of earnings,JOURNAL OF FINANCIAL ECONOMICS,2004,72,3,10.1016/S0304-405X(03)00186-7
Are elite universities losing their competitive edge?,JOURNAL OF FINANCIAL ECONOMICS,2009,93,3,10.1016/j.jfineco.2008.09.007
Are embedded calls valuable? Evidence from agency bonds,JOURNAL OF BANKING & FINANCE,2007,31,1,10.1016/j.jbankfin.2006.02.001
Are expansions cost effective for stock exchanges? A global perspective,JOURNAL OF BANKING & FINANCE,2001,25,12,10.1016/S0378-4266(01)00194-7
Are fairness opinions fair? The case of mergers and acquisitions,JOURNAL OF FINANCIAL ECONOMICS,2009,91,2,10.1016/j.jfineco.2008.03.001
Are family firms more tax aggressive than non-family firms?,JOURNAL OF FINANCIAL ECONOMICS,2010,95,1,10.1016/j.jfineco.2009.02.003
Are financial markets overly optimistic about the prospects of firms that issue equity? Evidence from voluntary versus involuntary equity issuances by banks,JOURNAL OF FINANCE,1998,53,6,10.1111/0022-1082.00085
Are firms underleveraged? An examination of the effect of leverage on default probabilities,JOURNAL OF FINANCE,2005,60,3,10.1111/j.1540-6261.2005.00766.x
"Are foreign banks more profitable than domestic banks? Home- and host-country effects of banking market structure, governance, and supervision",JOURNAL OF BANKING & FINANCE,2011,35,4,10.1016/j.jbankfin.2010.11.006
Are good or bad borrowers discouraged from applying for loans? Evidence from US small business credit markets,JOURNAL OF BANKING & FINANCE,2009,33,2,10.1016/j.jbankfin.2008.08.014
Are Incentive Contracts Rigged by Powerful CEOs?,JOURNAL OF FINANCE,2011,66,5,10.1111/j.1540-6261.2011.01687.x
Are insider trades informative?,REVIEW OF FINANCIAL STUDIES,2001,14,1,10.1093/rfs/14.1.79
Are interest rate options important for the assessment of interest rate risk?,JOURNAL OF BANKING & FINANCE,2009,33,8,10.1016/j.jbankfin.2009.02.003
Are investors rational? Choices among index funds,JOURNAL OF FINANCE,2004,59,1,10.1111/j.1540-6261.2004.00633.x
Are investors reluctant to realize their losses?,JOURNAL OF FINANCE,1998,53,5,10.1111/0022-1082.00072
Are IPO allocations for sale? Evidence from mutual funds,JOURNAL OF FINANCE,2006,61,5,10.1111/j.1540-6261.2006.01058.x
Are IPOs really underpriced?,REVIEW OF FINANCIAL STUDIES,2004,17,3,10.1093/rfs/hhg055
Are judgment errors reflected in market prices and allocations? Experimental evidence based on the Monty Hall problem,JOURNAL OF FINANCE,2004,59,3,10.1111/j.1540-6261.2004.00654.x
Are labor-saving technologies lowering employment in the banking industry?,JOURNAL OF BANKING & FINANCE,2006,30,1,10.1016/j.jbankfin.2005.03.008
Are labour markets in the new member states sufficiently flexible for EMU?,JOURNAL OF BANKING & FINANCE,2006,30,5,10.1016/j.jbankfin.2005.07.005
Are larger treasury issues more liquid? Evidence from bill reopenings,JOURNAL OF MONEY CREDIT AND BANKING,2002,34,3,10.1353/mcb.2002.0013
Are Liquidity and Information Risks Priced in the Treasury Bond Market ?,JOURNAL OF FINANCE,2009,64,1,10.1111/j.1540-6261.2008.01439.x
Are momentum profits robust to trading costs?,JOURNAL OF FINANCE,2004,59,3,10.1111/j.1540-6261.2004.00656.x
Are New Tigers supplanting Old Mammoths in China's banking system? Evidence from a sample of city commercial banks,JOURNAL OF BANKING & FINANCE,2009,33,1,10.1016/j.jbankfin.2007.06.013
Are non-risk based capital requirements for insurance companies binding?,JOURNAL OF BANKING & FINANCE,2010,34,7,10.1016/j.jbankfin.2010.03.008
Are oil shocks inflationary? Asymmetric and nonlinear specifications versus changes in regime,JOURNAL OF MONEY CREDIT AND BANKING,2002,34,2,10.1353/mcb.2002.0041
Are Options on Index Futures Profitable for Risk-Averse Investors? Empirical Evidence,JOURNAL OF FINANCE,2011,66,4,10.1111/j.1540-6261.2011.01665.x
Are perks purely managerial excess?,JOURNAL OF FINANCIAL ECONOMICS,2006,79,1,10.1016/j.jfineco.2005.01.003
Are price limits really bad for equity markets?,JOURNAL OF BANKING & FINANCE,2010,34,10,10.1016/j.jbankfin.2010.04.001
Are publicly held firms less efficient? Evidence from the US property-liability insurance industry,JOURNAL OF BANKING & FINANCE,2010,34,7,10.1016/j.jbankfin.2010.01.007
Are scale economies in banking elusive or illusive? Evidence obtained by incorporating capital structure and risk-taking into models of bank production,JOURNAL OF BANKING & FINANCE,2001,25,12,10.1016/S0378-4266(01)00190-X
Are small family firms financially sophisticated?,JOURNAL OF BANKING & FINANCE,2011,35,11,10.1016/j.jbankfin.2011.03.021
Are small investors naive about incentives?,JOURNAL OF FINANCIAL ECONOMICS,2007,85,2,10.1016/j.jfineco.2007.02.001
Are some mutual fund managers better than others? cross-sectional patterns in behavior and performance,JOURNAL OF FINANCE,1999,54,3,10.1111/0022-1082.00130
Are structured products 'fairly' priced? An analysis of the German market for equity-linked instruments,JOURNAL OF BANKING & FINANCE,2005,29,12,10.1016/j.jbankfin.2004.11.001
Are tax effects important in the long-run fisher relationship? Evidence from the municipal bond market,JOURNAL OF FINANCE,1999,54,1,10.1111/0022-1082.00105
Are the Fama and French factors global or country specific?,REVIEW OF FINANCIAL STUDIES,2002,15,3,10.1093/rfs/15.3.783
Are there economies of scale in underwriting fees? Evidence of rising external financing costs,REVIEW OF FINANCIAL STUDIES,2000,13,1,10.1093/rfs/13.1.191
Are there long-run implications of analyst coverage for IPOs?,JOURNAL OF BANKING & FINANCE,2008,32,6,10.1016/j.jbankfin.2007.09.021
Are there optimal multiple-reserve requirements?,JOURNAL OF FINANCIAL INTERMEDIATION,2001,10,1,10.1006/jfin.2000.0303
Are there permanent valuation gains to overseas listing ?,REVIEW OF FINANCIAL STUDIES,2009,22,1,10.1093/rfs/hhn003
Are there tax effects in the relative pricing of U.S. government bonds?,JOURNAL OF FINANCE,1997,52,2,10.1111/j.1540-6261.1997.tb04815.x
Are there windows of opportunity for convertible debt issuance? Evidence for Western Europe,JOURNAL OF BANKING & FINANCE,2007,31,9,10.1016/j.jbankfin.2007.02.010
"Are TIPS the ""real"" deal?: A conditional assessment of their role in a nominal portfolio",JOURNAL OF BANKING & FINANCE,2005,29,2,10.1016/j.jbankfin.2004.05.010
Are two heads better than one? Monetary policy by committee,JOURNAL OF MONEY CREDIT AND BANKING,2005,37,5,10.1353/mcb.2005.0048
Are unsolicited credit ratings biased downward?,JOURNAL OF BANKING & FINANCE,2003,27,4,10.1016/S0378-4266(01)00253-9
Are US CEOs Paid More Than U.K. CEOs? Inferences from Risk-adjusted Pay,REVIEW OF FINANCIAL STUDIES,2011,24,2,10.1093/rfs/hhq112
Around and around: The expectations hypothesis,JOURNAL OF FINANCE,1998,53,1,10.1111/0022-1082.145490
"Arrogance can be a virtue: Overconfidence, information acquisition, and market efficiency",JOURNAL OF FINANCIAL ECONOMICS,2007,84,2,10.1016/j.jfineco.2006.03.002
Aspects of international financial services,JOURNAL OF BANKING & FINANCE,2006,30,4,10.1016/j.jbankfin.2005.05.017
Assessing asset pricing anomalies,REVIEW OF FINANCIAL STUDIES,2001,14,4,10.1093/rfs/14.4.905
Assessing financial contagion in the interbank market: Maximum entropy versus observed interbank lending patterns,JOURNAL OF BANKING & FINANCE,2011,35,5,10.1016/j.jbankfin.2010.09.018
Assessing financial market integration in Asia - Equity markets,JOURNAL OF BANKING & FINANCE,2010,34,12,10.1016/j.jbankfin.2010.02.010
Assessing goodness-of-fit of asset pricing models: The distribution of the maximal R2,JOURNAL OF FINANCE,1997,52,2,10.1111/j.1540-6261.1997.tb04814.x
Assessing specification errors in stochastic discount factor models,JOURNAL OF FINANCE,1997,52,2,10.1111/j.1540-6261.1997.tb04813.x
Assessing the Costs and Benefits of Brokers in the Mutual Fund Industry,REVIEW OF FINANCIAL STUDIES,2009,22,10,10.1093/rfs/hhp022
Assessing the Lucas critique in monetary policy models,JOURNAL OF MONEY CREDIT AND BANKING,2005,37,2,10.1353/mcb.2005.0024
Assessing the performance of alternative investments using non-parametric efficiency measurement approaches: Is it convincing?,JOURNAL OF BANKING & FINANCE,2010,34,2,10.1016/j.jbankfin.2009.07.017
Asset allocation and location over the life cycle with investment-linked survival-contingent payouts,JOURNAL OF BANKING & FINANCE,2009,33,9,10.1016/j.jbankfin.2009.04.001
Asset allocation with a high dimensional latent factor stochastic volatility model,REVIEW OF FINANCIAL STUDIES,2006,19,1,10.1093/rfs/hhj002
Asset and liability management for insurance products with minimum guarantees: The UK case,JOURNAL OF BANKING & FINANCE,2006,30,2,10.1016/j.jbankfin.2005.04.009
Asset Bubbles and the Cost of Economic Fluctuations,JOURNAL OF MONEY CREDIT AND BANKING,2011,43,,10.1111/j.1538-4616.2011.00416.x
Asset efficiency and reallocation decisions of bankrupt firms,JOURNAL OF FINANCE,1998,53,5,10.1111/0022-1082.00063
Asset fire sales (and purchases) in equity markets,JOURNAL OF FINANCIAL ECONOMICS,2007,86,2,10.1016/j.jfineco.2006.09.007
Asset float and speculative bubbles,JOURNAL OF FINANCE,2006,61,3,10.1111/j.1540-6261.2006.00867.x
Asset growth and the cross-section of stock returns,JOURNAL OF FINANCE,2008,63,4,10.1111/j.1540-6261.2008.01370.x
Asset liquidity and financial contracts: Evidence from aircraft leases,JOURNAL OF FINANCIAL ECONOMICS,2010,95,1,10.1016/j.jfineco.2009.01.004
"Asset liquidity, capital structure, and secured debt",JOURNAL OF FINANCIAL ECONOMICS,2001,61,2,10.1016/S0304-405X(01)00059-9
"Asset liquidity, debt covenants, and managerial discretion in financial distress: the collapse of LA Gear",JOURNAL OF FINANCIAL ECONOMICS,2002,64,1,10.1016/S0304-405X(02)00069-7
"Asset market linkages: Evidence from financial, commodity and real estate assets",JOURNAL OF BANKING & FINANCE,2011,35,6,10.1016/j.jbankfin.2010.10.022
Asset prices and exchange rates,REVIEW OF FINANCIAL STUDIES,2007,20,4,10.1093/revfin/hhm008
Asset prices and real investment,JOURNAL OF FINANCIAL ECONOMICS,2004,73,3,10.1016/j.jfineco.2003.12.002
"Asset Prices, Liquidity, and Monetary Policy in an Exchange Economy",JOURNAL OF MONEY CREDIT AND BANKING,2011,43,,10.1111/j.1538-4616.2011.00450.x
Asset pricing at the millennium,JOURNAL OF FINANCE,2000,55,4,10.1111/0022-1082.00260
Asset pricing implications of firms' financing constraints,REVIEW OF FINANCIAL STUDIES,2006,19,4,10.1093/rfs/hhj040
Asset pricing implications of nonconvex adjustment costs and irreversibility of investment,JOURNAL OF FINANCE,2006,61,1,10.1111/j.1540-6261.2006.00832.x
Asset pricing models and financial market anomalies,REVIEW OF FINANCIAL STUDIES,2006,19,3,10.1093/rfs/hhj025
Asset pricing models: Implications for expected returns and portfolio selection,REVIEW OF FINANCIAL STUDIES,2000,13,4,10.1093/rfs/13.4.883
Asset pricing with conditioning information: A new test,JOURNAL OF FINANCE,2003,58,1,10.1111/1540-6261.00521
Asset Pricing with Garbage,JOURNAL OF FINANCE,2011,66,1,10.1111/j.1540-6261.2010.01629.x
Asset pricing with heterogeneous beliefs,JOURNAL OF BANKING & FINANCE,2005,29,11,10.1016/j.jbankfin.2005.02.003
Asset pricing with limited risk sharing and heterogeneous agents,REVIEW OF FINANCIAL STUDIES,2008,21,1,10.1093/rfs/hhm063
Asset pricing with liquidity risk,JOURNAL OF FINANCIAL ECONOMICS,2005,77,2,10.1016/j.jfineco.2004.06.007
Asset pricing with unforeseen contingencies,JOURNAL OF FINANCIAL ECONOMICS,2006,82,2,10.1016/j.jfineco.2005.07.013
"Asset pricing, time-varying risk premia and interest rate risk",JOURNAL OF BANKING & FINANCE,1997,21,3,10.1016/S0378-4266(96)00044-1
Asset restructuring strategies in bank acquisitions: Does distance between dealing partners matter?,JOURNAL OF BANKING & FINANCE,2008,32,5,10.1016/j.jbankfin.2007.05.008
Asset Return Dynamics and Learning,REVIEW OF FINANCIAL STUDIES,2010,23,4,10.1093/rfs/hhp112
Asset Returns and the Listing Choice of Firms,REVIEW OF FINANCIAL STUDIES,2009,22,6,10.1093/rfs/hhl043
Asset Salability and Debt Maturity: Evidence from Nineteenth-Century American Railroads,REVIEW OF FINANCIAL STUDIES,2009,22,4,10.1093/rfs/hhn036
"Asset sales, investment opportunities, and the use of proceeds",JOURNAL OF FINANCE,2005,60,1,10.1111/j.1540-6261.2005.00726.x
Asset trading volume with dynamically complete markets and heterogeneous agents,JOURNAL OF FINANCE,2003,58,5,10.1111/1540-6261.00602
"Asset-Backed Securities: Costs and Benefits of ""Bankruptcy Remoteness""",REVIEW OF FINANCIAL STUDIES,2011,24,4,10.1093/rfs/hhq059
Asset-liability management under time-varying investment opportunities,JOURNAL OF BANKING & FINANCE,2011,35,1,10.1016/j.jbankfin.2010.07.028
Asymmetric benchmarking in compensation: Executives are rewarded for good luck but not penalized for bad,JOURNAL OF FINANCIAL ECONOMICS,2006,82,1,10.1016/j.jfineco.2004.01.006
Asymmetric correlations of equity portfolios,JOURNAL OF FINANCIAL ECONOMICS,2002,63,3,10.1016/S0304-405X(02)00068-5
Asymmetric effect of basis on dynamic futures hedging: Empirical evidence from commodity markets,JOURNAL OF BANKING & FINANCE,2008,32,2,10.1016/j.jbankfin.2006.04.003
"Asymmetric effects of federal funds target rate changes on S&P100 stock returns, volatilities and correlations",JOURNAL OF BANKING & FINANCE,2010,34,4,10.1016/j.jbankfin.2009.09.012
Asymmetric effects of money supply shocks and trend inflation,JOURNAL OF MONEY CREDIT AND BANKING,2001,33,1,10.2307/2673872
Asymmetric effects of the business cycle on bank credit risk,JOURNAL OF BANKING & FINANCE,2009,33,9,10.1016/j.jbankfin.2009.03.010
Asymmetric herding as a source of asymmetric return volatility,JOURNAL OF BANKING & FINANCE,2011,35,10,10.1016/j.jbankfin.2011.02.025
Asymmetric information and commodity money: Tickling the tolerance in medieval France,JOURNAL OF MONEY CREDIT AND BANKING,1997,29,4,10.2307/2953707
Asymmetric information and liquidity constraints: A new test,JOURNAL OF BANKING & FINANCE,2007,31,8,10.1016/j.jbankfin.2006.11.012
Asymmetric information and loan contracts in a neoclassical growth model,JOURNAL OF MONEY CREDIT AND BANKING,1997,29,4,10.2307/2953706
Asymmetric information and monetary policy in common currency areas,JOURNAL OF MONEY CREDIT AND BANKING,2005,37,4,10.1353/mcb.2005.0039
Asymmetric information and news disclosure rules,JOURNAL OF FINANCIAL INTERMEDIATION,2000,9,4,10.1006/jfin.2000.0294
Asymmetric information and price competition in small business lending,JOURNAL OF BANKING & FINANCE,2011,35,9,10.1016/j.jbankfin.2011.01.022
Asymmetric information and the mode of entry in foreign credit markets,JOURNAL OF BANKING & FINANCE,2007,31,12,10.1016/j.jbankfin.2007.01.016
Asymmetric information effects on loan spreads,JOURNAL OF FINANCIAL ECONOMICS,2009,92,2,10.1016/j.jfineco.2008.06.003
"Asymmetric information, adverse selection, and the pricing of CMBS",JOURNAL OF FINANCIAL ECONOMICS,2011,100,2,10.1016/j.jfineco.2010.12.002
"Asymmetric information, corporate myopia, and capital gains tax rates: An analysis of policy prescriptions",JOURNAL OF FINANCIAL INTERMEDIATION,1999,8,3,10.1006/jfin.1999.0262
"Asymmetric information, dividend reductions, and contagion effects in bank stock returns",JOURNAL OF BANKING & FINANCE,2000,24,11,10.1016/S0378-4266(99)00097-7
Asymmetric monetary effects on interest rates across monetary policy stances,JOURNAL OF MONEY CREDIT AND BANKING,1999,31,3,10.2307/2601118
"Asymmetric price movements and borrowing constraints: A rational expectations equilibrium model of crises, contagion, and confusion",JOURNAL OF FINANCE,2005,60,1,10.1111/j.1540-6261.2005.00733.x
Asymmetric return dynamics and technical trading strategies,JOURNAL OF BANKING & FINANCE,2005,29,2,10.1016/j.jbankfin.2004.05.012
Asymmetric reverting behavior of short-horizon stock returns: An evidence of stock market overreaction,JOURNAL OF BANKING & FINANCE,2001,25,4,10.1016/S0378-4266(00)00110-2
Asymmetric stock market volatility and the cyclical behavior of expected returns,JOURNAL OF FINANCIAL ECONOMICS,2007,86,2,10.1016/j.jfineco.2006.10.002
Asymmetric volatility and risk in equity markets,REVIEW OF FINANCIAL STUDIES,2000,13,1,10.1093/rfs/13.1.1
Asymmetrical return on equity mean reversion and catering,JOURNAL OF BANKING & FINANCE,2011,35,2,10.1016/j.jbankfin.2010.09.009
Asymmetries in stock returns: Statistical tests and economic evaluation,REVIEW OF FINANCIAL STUDIES,2007,20,5,10.1093/rfs/hhl037
ATM surcharge bans and bank market structure: The case of Iowa and its neighbors,JOURNAL OF BANKING & FINANCE,2007,31,4,10.1016/j.jbankfin.2006.10.002
Attracting Attention: Cheap Managerial Talk and Costly Market Monitoring,JOURNAL OF FINANCE,2008,63,3,10.1111/j.1540-6261.2008.01361.x
Attracting Flows by Attracting Big Clients,JOURNAL OF FINANCE,2009,64,5,10.1111/j.1540-6261.2009.01496.x
Auction failures and the market for auction rate securities,JOURNAL OF FINANCIAL ECONOMICS,2010,97,3,10.1016/j.jfineco.2010.02.003
Auctioned IPOs: The US evidence,JOURNAL OF FINANCIAL ECONOMICS,2010,98,2,10.1016/j.jfineco.2010.05.005
Auctions vs. bookbuilding and the control of underpricing in hot IPO markets,REVIEW OF FINANCIAL STUDIES,2003,16,1,10.1093/rfs/16.1.31
Auditor reputation and earnings management: International evidence from the banking industry,JOURNAL OF BANKING & FINANCE,2010,34,10,10.1016/j.jbankfin.2010.02.020
Automated versus floor trading: An analysis of execution costs on the Paris and New York exchanges,JOURNAL OF FINANCE,2001,56,4,10.1111/0022-1082.00375
Automatic bankruptcy auctions and fire-sales,JOURNAL OF FINANCIAL ECONOMICS,2008,89,3,10.1016/j.jfineco.2007.10.003
Automation versus intermediation: Evidence from treasuries going off the run,JOURNAL OF FINANCE,2006,61,5,10.1111/j.1540-6261.2006.01061.x
Availability and cost of credit for small businesses: Customer relationships and credit cooperatives,JOURNAL OF BANKING & FINANCE,1998,22,6-8,10.1016/S0378-4266(98)00008-9
Average correlation and stock market returns,JOURNAL OF FINANCIAL ECONOMICS,2010,96,3,10.1016/j.jfineco.2010.02.011
Average idiosyncratic volatility in G7 countries,REVIEW OF FINANCIAL STUDIES,2008,21,3,10.1093/rfs/hhn043
Average inflation targeting,JOURNAL OF MONEY CREDIT AND BANKING,2005,37,5,10.1353/mcb.2005.0055
"Average Returns, B/M, and Share Issues",JOURNAL OF FINANCE,2008,63,6,10.1111/j.1540-6261.2008.01418.x
Avoiding bank runs in transition economies: The role of risk neutral capital,JOURNAL OF BANKING & FINANCE,2000,24,4,10.1016/S0378-4266(99)00083-7
Back to the basics in banking? A micro-analysis of banking system stability,JOURNAL OF FINANCIAL INTERMEDIATION,2010,19,3,10.1016/j.jfi.2009.04.001
Back to the beginning: Persistence and the cross-section of corporate capital structure,JOURNAL OF FINANCE,2008,63,4,10.1111/j.1540-6261.2008.01369.x
Backtesting for risk-based regulatory capital,JOURNAL OF BANKING & FINANCE,2004,28,8,10.1016/j.jbankfin.2003.06.007
Backtesting trading risk of commercial banks using expected shortfall,JOURNAL OF BANKING & FINANCE,2008,32,7,10.1016/j.jbankfin.2007.11.012
"Backward-looking interest-rate rules, interest-rate smoothing, and macroeconomic instability",JOURNAL OF MONEY CREDIT AND BANKING,2003,35,6,10.1353/mcb.2004.0020
Bad debts and the cleaning of banks' balance sheets: An application to transition economies,JOURNAL OF FINANCIAL INTERMEDIATION,2001,10,1,10.1006/jfin.2000.0304
"Bad news travels slowly: Size, analyst coverage, and the profitability of momentum strategies",JOURNAL OF FINANCE,2000,55,1,10.1111/0022-1082.00206
Bailout and conglomeration,JOURNAL OF FINANCIAL ECONOMICS,2004,71,2,10.1016/S0304-405X(03)00191-0
"Bailouts, the incentive to manage risk, and financial crises",JOURNAL OF FINANCIAL ECONOMICS,2010,95,3,10.1016/j.jfineco.2009.11.008
Bank activity and funding strategies: The impact on risk and returns,JOURNAL OF FINANCIAL ECONOMICS,2010,98,3,10.1016/j.jfineco.2010.06.004
Bank and nonbank financial intermediation,JOURNAL OF FINANCE,2004,59,6,10.1111/j.1540-6261.2004.00707.x
Bank asset liquidation and the propagation of the US Great Depression,JOURNAL OF MONEY CREDIT AND BANKING,2005,37,4,10.1353/mcb.2005.0038
Bank bailouts: moral hazard vs. value effect,JOURNAL OF FINANCIAL INTERMEDIATION,2003,12,4,10.1016/S1042-9573(03)00046-9
Bank behavior based on internal credit ratings of borrowers,JOURNAL OF BANKING & FINANCE,1998,22,10-11,10.1016/S0378-4266(98)00064-8
Bank borrowing and corporate risk management,JOURNAL OF FINANCIAL INTERMEDIATION,2009,18,4,10.1016/j.jfi.2008.08.006
Bank Branch Presence and Access to Credit in Low- to Moderate-Income Neighborhoods,JOURNAL OF MONEY CREDIT AND BANKING,2010,42,7,10.1111/j.1538-4616.2010.00343.x
Bank capital adequacy regulation under the new Basel Accord,JOURNAL OF FINANCIAL INTERMEDIATION,2004,13,2,10.1016/j.jfi.2003.04.002
Bank capital and equity investment regulations,JOURNAL OF BANKING & FINANCE,1999,23,7,10.1016/S0378-4266(98)00132-0
Bank capital and loan asymmetry in the transmission of monetary policy,JOURNAL OF BANKING & FINANCE,2006,30,1,10.1016/j.jbankfin.2005.05.002
Bank Capital and Value in the Cross-Section,REVIEW OF FINANCIAL STUDIES,2011,24,4,10.1093/rfs/hhq022
Bank capital regulation and credit supply,JOURNAL OF BANKING & FINANCE,2011,35,2,10.1016/j.jbankfin.2010.08.018
Bank capital regulation as an incentive mechanism: Implications for portfolio choice,JOURNAL OF BANKING & FINANCE,2002,26,1,10.1016/S0378-4266(01)00198-4
Bank capital regulation in a barrier option framework,JOURNAL OF BANKING & FINANCE,2008,32,8,10.1016/j.jbankfin.2007.11.018
Bank capital structure and credit decisions,JOURNAL OF FINANCIAL INTERMEDIATION,2008,17,3,10.1016/j.jfi.2008.02.006
"Bank capital structure, regulatory capital, and securities innovations",JOURNAL OF MONEY CREDIT AND BANKING,2003,35,3,10.1353/mcb.2003.0015
Bank CEO incentives and the credit crisis,JOURNAL OF FINANCIAL ECONOMICS,2011,99,1,10.1016/j.jfineco.2010.08.010
Bank competition and access to finance: International evidence,JOURNAL OF MONEY CREDIT AND BANKING,2004,36,3,10.1353/mcb.2004.0039
Bank competition and credit standards,REVIEW OF FINANCIAL STUDIES,2004,17,4,10.1093/rfs/hhh011
Bank competition and ECB's monetary policy,JOURNAL OF BANKING & FINANCE,2000,24,6,10.1016/S0378-4266(99)00114-4
Bank competition and firm creation,JOURNAL OF MONEY CREDIT AND BANKING,2004,36,2,10.1353/mcb.2004.0011
Bank competition efficiency in Europe: A frontier approach,JOURNAL OF BANKING & FINANCE,2010,34,8,10.1016/j.jbankfin.2009.09.019
Bank concentration and competition: An evolution in the making,JOURNAL OF MONEY CREDIT AND BANKING,2004,36,3,10.1353/mcb.2004.0040
Bank concentration and financial constraints on firm-level investment in Europe,JOURNAL OF BANKING & FINANCE,2008,32,12,10.1016/j.jbankfin.2008.07.001
Bank concentration and retail interest rates,JOURNAL OF BANKING & FINANCE,2002,26,11,10.1016/S0378-4266(02)00204-2
"Bank concentration, competition, and crises: First results",JOURNAL OF BANKING & FINANCE,2006,30,5,10.1016/j.jbankfin.2005.05.010
Bank consolidation and new business formation,JOURNAL OF BANKING & FINANCE,2008,32,8,10.1016/j.jbankfin.2007.11.015
Bank consolidation and small business lending: It's not just bank size that matters,JOURNAL OF BANKING & FINANCE,1998,22,6-8,10.1016/S0378-4266(98)00012-0
"Bank control, takeovers and corporate governance in Germany",JOURNAL OF BANKING & FINANCE,1998,22,10-11,10.1016/S0378-4266(98)00060-0
Bank Corporate Loan Pricing Following the Subprime Crisis,REVIEW OF FINANCIAL STUDIES,2011,24,6,10.1093/rfs/hhq115
Bank credit risk and structural credit models: Agency and information asymmetry perspectives,JOURNAL OF BANKING & FINANCE,2009,33,8,10.1016/j.jbankfin.2009.02.016
Bank Debt and Corporate Governance,REVIEW OF FINANCIAL STUDIES,2009,22,1,10.1093/rfs/hhn063
Bank deposit rate clustering: Theory and empirical evidence,JOURNAL OF FINANCE,1999,54,6,10.1111/0022-1082.00185
Bank efficiency and foreign ownership: Do good institutions matter?,JOURNAL OF BANKING & FINANCE,2008,32,5,10.1016/j.jbankfin.2007.06.001
Bank efficiency: The role of bank strategy and local market conditions,JOURNAL OF BANKING & FINANCE,2006,30,7,10.1016/j.jbankfin.2005.07.008
"Bank entry, competition, and the market for corporate securities underwriting",JOURNAL OF FINANCIAL ECONOMICS,1999,54,2,10.1016/S0304-405X(99)00035-5
Bank failures and bank fundamentals: A comparative analysis of Latin America and East Asia during the nineties using bank-level data,JOURNAL OF BANKING & FINANCE,2008,32,2,10.1016/j.jbankfin.2007.03.011
Bank Finance versus Bond Finance,JOURNAL OF MONEY CREDIT AND BANKING,2011,43,7,10.1111/j.1538-4616.2011.00429.x
Bank foreign exchange and interest rate risk management: simultaneous versus separate hedging strategies,JOURNAL OF FINANCIAL INTERMEDIATION,2003,12,3,10.1016/S1042-9573(03)00039-1
"Bank fragility, ""money under the mattress"", and long-run growth: US evidence from the ""perfect"" Panic of 1893",JOURNAL OF BANKING & FINANCE,2009,33,12,10.1016/j.jbankfin.2009.05.020
Bank fund reallocation and economic growth: Evidence from China,JOURNAL OF BANKING & FINANCE,2010,34,11,10.1016/j.jbankfin.2010.05.015
"Bank governance, regulation and risk taking",JOURNAL OF FINANCIAL ECONOMICS,2009,93,2,10.1016/j.jfineco.2008.09.003
Bank incentives and suboptimal lending decisions: Evidence from the valuation effect of bank loan announcements in Japan,JOURNAL OF BANKING & FINANCE,2008,32,6,10.1016/j.jbankfin.2007.06.010
Bank income structure and risk: An empirical analysis of European banks,JOURNAL OF BANKING & FINANCE,2008,32,8,10.1016/j.jbankfin.2007.12.002
Bank interest rates and credit relationships in Italy,JOURNAL OF BANKING & FINANCE,1999,23,7,10.1016/S0378-4266(98)00131-9
Bank intermediation over the business cycle,JOURNAL OF MONEY CREDIT AND BANKING,2001,33,4,10.2307/2673927
Bank involvement with SMEs: Beyond relationship lending,JOURNAL OF BANKING & FINANCE,2010,34,9,10.1016/j.jbankfin.2010.02.014
Bank lending and property prices in Hong Kong,JOURNAL OF BANKING & FINANCE,2005,29,2,10.1016/j.jbankfin.2004.05.015
Bank lending during the financial crisis of 2008,JOURNAL OF FINANCIAL ECONOMICS,2010,97,3,10.1016/j.jfineco.2009.12.001
"Bank lending policy, credit scoring and value-at-risk",JOURNAL OF BANKING & FINANCE,2003,27,4,10.1016/S0378-4266(01)00254-0
Bank lending to small businesses in Latin America: Does bank origin matter?,JOURNAL OF MONEY CREDIT AND BANKING,2005,37,1,10.1353/mcb.2005.0003
Bank Lines of Credit in Corporate Finance: An Empirical Analysis,REVIEW OF FINANCIAL STUDIES,2009,22,3,10.1093/revfin/hhm007
Bank Liquidity Creation,REVIEW OF FINANCIAL STUDIES,2009,22,9,10.1093/rfs/hhn104
Bank liquidity regulation and the lender of last resort,JOURNAL OF FINANCIAL INTERMEDIATION,2009,18,4,10.1016/j.jfi.2007.08.001
"Bank Liquidity, Interbank Markets, and Monetary Policy",REVIEW OF FINANCIAL STUDIES,2011,24,8,10.1093/rfs/hhr018
"Bank loan commitment contracts: Data, theory, and tests",JOURNAL OF MONEY CREDIT AND BANKING,1997,29,4,10.2307/2953711
Bank loan losses-given-default: A case study,JOURNAL OF BANKING & FINANCE,2006,30,4,10.1016/j.jbankfin.2005.05.005
Bank loan recovery rates: Measuring and nonparametric density estimation,JOURNAL OF BANKING & FINANCE,2010,34,5,10.1016/j.jbankfin.2009.10.001
Bank loan supply and monetary policy transmission in Germany: An assessment based on matching impulse responses,JOURNAL OF BANKING & FINANCE,2006,30,10,10.1016/j.jbankfin.2005.12.001
"Bank Loan Supply, Lender Choice, and Corporate Capital Structure",JOURNAL OF FINANCE,2009,64,3,10.1111/j.1540-6261.2009.01461.x
"Bank loans, bonds, and information monopolies across the business cycle",JOURNAL OF FINANCE,2008,63,3,10.1111/j.1540-6261.2008.01359.x
Bank M&A: A market power story?,JOURNAL OF BANKING & FINANCE,2011,35,9,10.1016/j.jbankfin.2011.01.030
Bank mergers and crime: The real and social effects of credit market competition,JOURNAL OF FINANCE,2006,61,2,10.1111/j.1540-6261.2006.00847.x
Bank mergers and small firm financing,JOURNAL OF MONEY CREDIT AND BANKING,2003,35,6,10.1353/mcb.2003.0049
"Bank mergers, competition, and liquidity",JOURNAL OF MONEY CREDIT AND BANKING,2007,39,5,10.1111/j.1538-4616.2007.00058.x
"Bank mergers, the market for bank CEOs, and managerial incentives",JOURNAL OF FINANCIAL INTERMEDIATION,2004,13,1,10.1016/S1042-9573(03)00027-5
Bank mergers: What should policymakers do?,JOURNAL OF BANKING & FINANCE,1999,23,2-4,10.1016/S0378-4266(98)00098-3
Bank mergers: What's a policymaker to do?,JOURNAL OF BANKING & FINANCE,1999,23,2-4,10.1016/S0378-4266(98)00099-5
Bank monitoring and the pricing of corporate public debt,JOURNAL OF FINANCIAL ECONOMICS,1999,51,3,10.1016/S0304-405X(98)00060-9
Bank ownership and efficiency,JOURNAL OF MONEY CREDIT AND BANKING,2001,33,4,10.2307/2673929
Bank ownership and efficiency in China: What will happen in the world's largest nation?,JOURNAL OF BANKING & FINANCE,2009,33,1,10.1016/j.jbankfin.2007.05.016
Bank ownership and performance. Does politics matter?,JOURNAL OF BANKING & FINANCE,2007,31,1,10.1016/j.jbankfin.2006.02.007
Bank ownership reform and bank performance in China,JOURNAL OF BANKING & FINANCE,2009,33,1,10.1016/j.jbankfin.2006.11.022
Bank ownership type and banking relationships,JOURNAL OF FINANCIAL INTERMEDIATION,2008,17,1,10.1016/j.jfi.2006.11.001
Bank performance around the introduction of a Section 20 subsidiary,JOURNAL OF FINANCE,2002,57,1,10.1111/1540-6261.00430
"Bank performance, efficiency and ownership in transition countries",JOURNAL OF BANKING & FINANCE,2005,29,1,10.1016/j.jbankfin.2004.06.015
Bank portfolio exposure to emerging markets and its effects on bank market value,JOURNAL OF BANKING & FINANCE,2006,30,4,10.1016/j.jbankfin.2005.05.013
Bank power and cash holdings: Evidence from Japan,REVIEW OF FINANCIAL STUDIES,2001,14,4,10.1093/rfs/14.4.1059
Bank privatization and performance: Empirical evidence from Nigeria,JOURNAL OF BANKING & FINANCE,2005,29,8-9,10.1016/j.jbankfin.2005.03.018
Bank privatization and productivity: Evidence for Brazil,JOURNAL OF BANKING & FINANCE,2005,29,8-9,10.1016/j.jbankfin.2005.03.015
Bank privatization in developing and developed countries: Cross-sectional evidence on the impact of economic and political factors,JOURNAL OF BANKING & FINANCE,2005,29,8-9,10.1016/j.jbankfin.2005.03.004
Bank privatization in developing countries: A summary of lessons and findings,JOURNAL OF BANKING & FINANCE,2005,29,8-9,10.1016/j.jbankfin.2005.03.006
Bank profitability and taxation,JOURNAL OF BANKING & FINANCE,2010,34,11,10.1016/j.jbankfin.2010.06.003
Bank regulation and risk-taking incentives: An international comparison of bank risk,JOURNAL OF BANKING & FINANCE,2005,29,5,10.1016/j.jbankfin.2004.05.029
Bank regulation and supervision: what works best?,JOURNAL OF FINANCIAL INTERMEDIATION,2004,13,2,10.1016/j.jfi.2003.06.002
"Bank regulation, property prices and early warning systems for banking crises in OECD countries",JOURNAL OF BANKING & FINANCE,2010,34,9,10.1016/j.jbankfin.2010.02.015
Bank relationships and underwriter competition: Evidence from Japan,JOURNAL OF FINANCIAL ECONOMICS,2007,86,2,10.1016/j.jfineco.2006.08.006
"Bank reputation, bank commitment, and the effects of competition in credit markets",REVIEW OF FINANCIAL STUDIES,2000,13,3,10.1093/rfs/13.3.781
"Bank Risk-taking, Securitization, Supervision, and Low Interest Rates: Evidence from the Euro-area and the US Lending Standards",REVIEW OF FINANCIAL STUDIES,2011,24,6,10.1093/rfs/hhr015
Bank shareholding and lending: Complementarity or substitution? Some evidence from a panel of large Italian firms,JOURNAL OF BANKING & FINANCE,2008,32,10,10.1016/j.jbankfin.2007.12.045
Bank size and risk-taking under Basel II,JOURNAL OF BANKING & FINANCE,2011,35,6,10.1016/j.jbankfin.2010.10.031
"Bank size, bank capital, and the bank lending channel",JOURNAL OF MONEY CREDIT AND BANKING,2000,32,1,10.2307/2601095
"Bank size, lending technologies, and small business finance",JOURNAL OF BANKING & FINANCE,2011,35,3,10.1016/j.jbankfin.2010.09.004
Bank stock returns and economic growth,JOURNAL OF BANKING & FINANCE,2008,32,6,10.1016/j.jbankfin.2007.07.006
Bank underwriting of debt securities: Modern evidence,REVIEW OF FINANCIAL STUDIES,1997,10,4,10.1093/rfs/10.4.1175
Bank-based or market-based financial systems: Which is better?,JOURNAL OF FINANCIAL INTERMEDIATION,2002,11,4,10.1006/jfin.2002.0341
Bank-firm relationships and allocative efficiency in Northeastern and Central Italy and in the South,JOURNAL OF BANKING & FINANCE,2000,24,6,10.1016/S0378-4266(99)00118-1
Bank-firm relationships and contagious banking crises,JOURNAL OF MONEY CREDIT AND BANKING,2003,35,2,10.1353/mcb.2003.0013
Bank-specific shocks and the real economy,JOURNAL OF BANKING & FINANCE,2011,35,8,10.1016/j.jbankfin.2011.01.023
"Bankers on boards: monitoring, conflicts of interest, and lender liability",JOURNAL OF FINANCIAL ECONOMICS,2001,62,3,10.1016/S0304-405X(01)00082-4
Banking and commerce: A liquidity approach,JOURNAL OF BANKING & FINANCE,2005,29,2,10.1016/j.jbankfin.2004.05.005
Banking and finance in an integrating Europe,JOURNAL OF BANKING & FINANCE,2006,30,7,10.1016/j.jbankfin.2005.09.001
Banking competition and macroeconomic performance,JOURNAL OF MONEY CREDIT AND BANKING,1998,30,4,10.2307/2601129
Banking crises and bank rescues: The effect of reputation,JOURNAL OF MONEY CREDIT AND BANKING,2000,32,3,10.2307/2601192
Banking crises and the design of safety nets,JOURNAL OF BANKING & FINANCE,2005,29,1,10.1016/j.jbankfin.2004.06.019
"Banking crises, financial dependence, and growth",JOURNAL OF FINANCIAL ECONOMICS,2007,84,1,10.1016/j.jfineco.2006.05.001
Banking deregulation and industry structure: Evidence from the French banking reforms of 1985,JOURNAL OF FINANCE,2007,62,2,10.1111/j.1540-6261.2007.01218.x
Banking in a Matching Model of Money and Capital,JOURNAL OF MONEY CREDIT AND BANKING,2011,43,,10.1111/j.1538-4616.2011.00446.x
Banking in emerging markets,JOURNAL OF FINANCIAL INTERMEDIATION,2002,11,4,10.1006/jfin.2002.0354
Banking in transition economies: Does efficiency require instability?,JOURNAL OF MONEY CREDIT AND BANKING,1998,30,3,10.2307/2601261
Banking market conditions and deposit interest rates,JOURNAL OF BANKING & FINANCE,2007,31,12,10.1016/j.jbankfin.2007.02.009
Banking market structure and financial stability: Evidence from the Texas real estate crisis in the 1980s,JOURNAL OF FINANCIAL ECONOMICS,2004,73,3,10.1016/j.jfineco.2003.07.004
"Banking market structure, financial dependence and growth: International evidence from industry data",JOURNAL OF FINANCE,2001,56,2,10.1111/0022-1082.00339
Banking on the principles: Compliance with Basel Core Principles and bank soundness,JOURNAL OF FINANCIAL INTERMEDIATION,2008,17,4,10.1016/j.jfi.2007.10.003
Banking relationships and access to equity capital markets: Evidence from Japan's main bank system,JOURNAL OF BANKING & FINANCE,2007,31,2,10.1016/j.jbankfin.2006.04.007
Banking scope and financial innovation,REVIEW OF FINANCIAL STUDIES,1997,10,4,10.1093/rfs/10.4.1099
"Banking system control, capital allocation, and economy performance",JOURNAL OF FINANCIAL ECONOMICS,2011,100,2,10.1016/j.jfineco.2010.12.004
Banking with nominal deposits and inside money,JOURNAL OF FINANCIAL INTERMEDIATION,2008,17,4,10.1016/j.jfi.2008.05.001
Bankruptcy and the Collateral Channel,JOURNAL OF FINANCE,2011,66,2,10.1111/j.1540-6261.2010.01636.x
"Bankruptcy auctions: costs, debt recovery, and firm survival",JOURNAL OF FINANCIAL ECONOMICS,2000,58,3,10.1016/S0304-405X(00)00075-1
Bankruptcy Codes and Innovation,REVIEW OF FINANCIAL STUDIES,2009,22,12,10.1093/rfs/hhp019
Bankruptcy priority for bank deposits: A contract theoretic explanation,REVIEW OF FINANCIAL STUDIES,2000,13,3,10.1093/rfs/13.3.813
Bankruptcy probability changes and the differential informativeness of bond upgrades and downgrades,JOURNAL OF BANKING & FINANCE,2007,31,12,10.1016/j.jbankfin.2007.02.008
Bankruptcy risk and productive efficiency in manufacturing firms,JOURNAL OF BANKING & FINANCE,2003,27,11,10.1016/S0378-4266(02)00319-9
"Bankruptcy, warrants, and state-contingent changes in the ownership of control",JOURNAL OF FINANCIAL INTERMEDIATION,1997,6,4,10.1006/jfin.1997.0225
Banks and bubbles: How good are bankers at spotting winners?,JOURNAL OF FINANCIAL ECONOMICS,2007,86,1,10.1016/j.jfineco.2006.07.004
Banks and corporate control in Japan,JOURNAL OF FINANCE,1999,54,1,10.1111/0022-1082.00106
Banks and innovation: Microeconometric evidence on Italian firms,JOURNAL OF FINANCIAL ECONOMICS,2008,90,2,10.1016/j.jfineco.2008.01.001
Banks as catalysts for industrialization,JOURNAL OF FINANCIAL INTERMEDIATION,2002,11,4,10.1006/jfin.2002.0346
Banks as delegated risk managers,JOURNAL OF BANKING & FINANCE,2004,28,10,10.1016/j.jbankfin.2003.09.007
Banks as liquidity providers: An explanation for the coexistence of lending and deposit-taking,JOURNAL OF FINANCE,2002,57,1,10.1111/1540-6261.00415
Banks as multioutput oligopolies: An empirical evaluation of the retail and corporate banking markets,JOURNAL OF MONEY CREDIT AND BANKING,1998,30,2,10.2307/2601206
"Banks versus venture capital: Project evaluation, screening, and expropriation",JOURNAL OF FINANCE,2004,59,2,10.1111/j.1540-6261.2004.00643.x
"Banks, financial markets and growth",JOURNAL OF FINANCIAL INTERMEDIATION,2008,17,1,10.1016/j.jfi.2006.04.003
"Banks, financial markets, and social welfare",JOURNAL OF BANKING & FINANCE,2005,29,10,10.1016/j.jbankfin.2004.09.006
Banks' advantage in hedging liquidity risk: Theory and evidence from the commercial paper market,JOURNAL OF FINANCE,2006,61,2,10.1111/j.1540-6261.2006.00857.x
Banks' changing incentives and opportunities for risk taking,JOURNAL OF BANKING & FINANCE,1997,21,4,10.1016/S0378-4266(96)00052-0
"Banks' exposure to interest rate risk, their earnings from term transformation, and the dynamics of the term structure",JOURNAL OF BANKING & FINANCE,2011,35,2,10.1016/j.jbankfin.2010.08.003
Banks' intraday liquidity management during operational outages: Theory and evidence from the UK payment system,JOURNAL OF BANKING & FINANCE,2010,34,2,10.1016/j.jbankfin.2009.07.024
"Banks' reserve management, transaction costs, and the timing of Federal Reserve intervention",JOURNAL OF BANKING & FINANCE,2001,25,7,10.1016/S0378-4266(00)00130-8
"Banks' responses to deregulation: Profits, technology, and efficiency",JOURNAL OF MONEY CREDIT AND BANKING,1997,29,1,10.2307/2953687
Basel II and bank lending to emerging markets: Evidence from the German banking sector,JOURNAL OF BANKING & FINANCE,2007,31,2,10.1016/j.jbankfin.2006.05.017
Basel's value-at-risk capital requirement regulation: An efficiency analysis,JOURNAL OF BANKING & FINANCE,2007,31,6,10.1016/j.jbankfin.2007.02.007
Basis Assets,REVIEW OF FINANCIAL STUDIES,2009,22,12,10.1093/rfs/hhp065
Bayesian alphas and mutual fund persistence,JOURNAL OF FINANCE,2006,61,5,10.1111/j.1540-6261.2006.01057.x
Bayesian inference for issuer heterogeneity in credit ratings migration,JOURNAL OF BANKING & FINANCE,2008,32,10,10.1016/j.jbankfin.2007.12.043
Beauty contests and iterated expectations in asset markets,REVIEW OF FINANCIAL STUDIES,2006,19,3,10.1093/rfs/hhj036
Behavior of liquidity and returns around Canadian seasoned equity offerings,JOURNAL OF BANKING & FINANCE,2010,34,12,10.1016/j.jbankfin.2010.07.009
Behavioral biases of mutual fund investors,JOURNAL OF FINANCIAL ECONOMICS,2011,102,1,10.1016/j.jfineco.2011.05.002
Benchmarking Money Manager Performance: Issues and Evidence,REVIEW OF FINANCIAL STUDIES,2009,22,11,10.1093/rfs/hhp016
Benefits from a changing payment technology in European banking,JOURNAL OF BANKING & FINANCE,2006,30,6,10.1016/j.jbankfin.2005.09.009
Benefits from US monetary policy experimentation in the days of Samuelson and Solow and Lucas,JOURNAL OF MONEY CREDIT AND BANKING,2007,39,1,10.1111/j.1538-4616.2007.00016.x
Beyond segmentation: The case of China's repo markets,JOURNAL OF BANKING & FINANCE,2007,31,3,10.1016/j.jbankfin.2006.06.014
Beyond Sharpe ratio: Optimal asset allocation using different performance ratios,JOURNAL OF BANKING & FINANCE,2008,32,10,10.1016/j.jbankfin.2007.12.026
Bias of damage awards and free options in securities litigation,JOURNAL OF FINANCIAL INTERMEDIATION,2000,9,2,10.1006/jfin.2000.0286
Biases in decomposing holding-period portfolio returns,REVIEW OF FINANCIAL STUDIES,2008,21,5,10.1093/rfs/hhl034
Bid-ask spreads and the avoidance of odd-eighth quotes on Nasdaq: An examination of exchange listings,JOURNAL OF FINANCIAL ECONOMICS,1997,45,1,10.1016/S0304-405X(97)00010-X
Bidder returns in bancassurance mergers: Is there evidence of synergy?,JOURNAL OF BANKING & FINANCE,2007,31,12,10.1016/j.jbankfin.2007.01.014
Bidders' strategic timing of acquisition announcements and the effects of payment method on target returns and competing bids,JOURNAL OF BANKING & FINANCE,2011,35,9,10.1016/j.jbankfin.2011.01.029
Bidding behavior in the longer term refinancing operations of the European Central Bank: Evidence from a panel sample selection model,JOURNAL OF BANKING & FINANCE,2007,31,5,10.1016/j.jbankfin.2007.01.006
Bidding dynamics in multi-unit auctions: empirical evidence from online auctions of certificates of deposit,JOURNAL OF FINANCIAL INTERMEDIATION,2005,14,2,10.1016/j.jfi.2004.05.002
Bidding into the red: A model of post-auction bankruptcy,JOURNAL OF FINANCE,2007,62,6,10.1111/j.1540-6261.2007.01290.x
Bids and allocations in European IPO bookbuilding,JOURNAL OF FINANCE,2004,59,5,10.1111/j.1540-6261.2004.00700.x
Big Bad Banks? The Winners and Losers from Bank Deregulation in the United States,JOURNAL OF FINANCE,2010,65,5,10.1111/j.1540-6261.2010.01589.x
Big Business Owners in Politics,REVIEW OF FINANCIAL STUDIES,2009,22,6,10.1093/rfs/hhn083
Big business stability and economic growth: Is what's good for General Motors good for America?,JOURNAL OF FINANCIAL ECONOMICS,2008,89,1,10.1016/j.jfineco.2007.06.004
Binary choice models and corporate takeover,JOURNAL OF BANKING & FINANCE,2003,27,4,10.1016/S0378-4266(01)00258-8
Block ownership and firm-specific information,JOURNAL OF BANKING & FINANCE,2009,33,2,10.1016/j.jbankfin.2008.08.011
Block share purchases and corporate performance,JOURNAL OF FINANCE,1998,53,2,10.1111/0022-1082.244195
"Blockholder Trading, Market Efficiency, and Managerial Myopia",JOURNAL OF FINANCE,2009,64,6,10.1111/j.1540-6261.2009.01508.x
"Blocks, liquidity, and corporate control",JOURNAL OF FINANCE,1998,53,1,10.1111/0022-1082.15240
Blurring firm boundaries: The role of venture capital in strategic alliances,JOURNAL OF FINANCE,2008,63,3,10.1111/j.1540-6261.2008.01354.x
Board classification and managerial entrenchment: Evidence from the market for corporate control,JOURNAL OF FINANCIAL ECONOMICS,2008,87,3,10.1016/j.jfineco.2007.03.007
"Board composition, board effectiveness, and the observed form of takeover bids",REVIEW OF FINANCIAL STUDIES,2004,17,4,10.1093/rfs/hhh001
Board independence and competence,JOURNAL OF FINANCIAL INTERMEDIATION,2011,20,1,10.1016/j.jfi.2010.06.002
Board interlocks and the propensity to be targeted in private equity transactions,JOURNAL OF FINANCIAL ECONOMICS,2010,97,1,10.1016/j.jfineco.2010.03.012
Board meeting frequency and firm performance,JOURNAL OF FINANCIAL ECONOMICS,1999,53,1,10.1016/S0304-405X(99)00018-5
Board seat accumulation by executives: A shareholder's perspective,JOURNAL OF FINANCE,2005,60,4,10.1111/j.1540-6261.2005.00788.x
Board size and the variability of corporate performance,JOURNAL OF FINANCIAL ECONOMICS,2008,87,1,10.1016/j.jfineco.2006.10.006
Board structure and fee-setting in the U.S. mutual fund industry,JOURNAL OF FINANCIAL ECONOMICS,1997,46,3,10.1016/S0304-405X(97)00033-0
Board structure and price informativeness,JOURNAL OF FINANCIAL ECONOMICS,2011,99,3,10.1016/j.jfineco.2010.10.007
"Board structure, mergers, and shareholder wealth: A study of the mutual fund industry",JOURNAL OF FINANCIAL ECONOMICS,2007,85,2,10.1016/j.jfineco.2006.05.002
"Boards of directors, ownership, and regulation",JOURNAL OF BANKING & FINANCE,2002,26,10,10.1016/S0378-4266(01)00181-9
Boards: Does one size fit all?,JOURNAL OF FINANCIAL ECONOMICS,2008,87,2,10.1016/j.jfineco.2006.08.008
"Bond calls, credible commitment, and equity dilution: a theoretical and clinical analysis of simultaneous tender and call (STAC) offers",JOURNAL OF FINANCIAL ECONOMICS,2001,60,2-3,10.1016/S0304-405X(01)00053-8
Bond durations: Corporates vs. Treasuries,JOURNAL OF BANKING & FINANCE,2007,31,12,10.1016/j.jbankfin.2007.01.017
Bond insurance: What is special about munis?,JOURNAL OF FINANCE,2004,59,5,10.1111/j.1540-6261.2004.00698.x
Bond Ladders and Optimal Portfolios,REVIEW OF FINANCIAL STUDIES,2011,24,12,10.1093/rfs/hhr074
Bond risk premia and realized jump risk,JOURNAL OF BANKING & FINANCE,2009,33,12,10.1016/j.jbankfin.2009.06.010
Bond underwriting by banks and conflicts of interest: Evidence from Japan during the pre-war period,JOURNAL OF BANKING & FINANCE,2002,26,4,10.1016/S0378-4266(01)00170-4
Bondholder wealth effects in mergers and acquisitions: New evidence from the 1980s and 1990s,JOURNAL OF FINANCE,2004,59,1,10.1111/j.1540-6261.2004.00628.x
"Book-to-market equity, distress risk, and stock returns",JOURNAL OF FINANCE,2002,57,5,10.1111/1540-6261.00497
Book-to-market ratios as predictors of market returns,JOURNAL OF FINANCIAL ECONOMICS,1998,49,2,10.1016/S0304-405X(98)00020-8
"Book-to-market, dividend yield, and expected market returns: A time-series analysis",JOURNAL OF FINANCIAL ECONOMICS,1997,44,2,10.1016/S0304-405X(97)00002-0
Bookbuilding and strategic allocation,JOURNAL OF FINANCE,2001,56,6,10.1111/0022-1082.00407
Bookbuilding with heterogeneous investors,JOURNAL OF FINANCIAL INTERMEDIATION,2006,15,2,10.1016/j.jfi.2005.09.001
Bookbuilding: How informative is the order book?,JOURNAL OF FINANCE,2003,58,4,10.1111/1540-6261.00572
Boom and bust patterns in the adoption of financial innovations,REVIEW OF FINANCIAL STUDIES,1997,10,4,10.1093/rfs/10.4.939
"Booms, busts, and fraud",REVIEW OF FINANCIAL STUDIES,2007,20,4,10.1093/revfin/hhm012
"Borrower-lender distance, credit scoring, and loan performance: Evidence from informational-opaque small business borrowers",JOURNAL OF FINANCIAL INTERMEDIATION,2008,17,1,10.1016/j.jfi.2007.07.002
Borrowing in foreign currency: Austrian households as carry traders,JOURNAL OF BANKING & FINANCE,2010,34,9,10.1016/j.jbankfin.2010.02.008
Bought deals: The value of underwriter certification in seasoned equity offerings,JOURNAL OF BANKING & FINANCE,2010,34,7,10.1016/j.jbankfin.2010.03.005
Boundaries of the firm: evidence from the banking industry,JOURNAL OF FINANCIAL ECONOMICS,2003,70,3,10.1016/S0304-405X(03)00170-3
Bounds and prices of currency cross-rate options,JOURNAL OF BANKING & FINANCE,2008,32,5,10.1016/j.jbankfin.2007.01.027
Bounds on contingent claims based on several assets,JOURNAL OF FINANCIAL ECONOMICS,1997,46,3,10.1016/S0304-405X(97)00035-4
Bounds tests of the theory of purchasing power parity,JOURNAL OF BANKING & FINANCE,2002,26,1,10.1016/S0378-4266(01)00159-5
"Branch banking, bank competition, and financial stability",JOURNAL OF MONEY CREDIT AND BANKING,2006,38,5,10.1353/mcb.2006.0067
Breadth of ownership and stock returns,JOURNAL OF FINANCIAL ECONOMICS,2002,66,2-3,10.1016/S0304-405X(02)00223-4
"Breaking down the barriers: Competition, syndicate structure, and underwriting incentives",JOURNAL OF FINANCIAL ECONOMICS,2011,99,3,10.1016/j.jfineco.2010.09.006
Breaking up is hard to do? An analysis of termination fee provisions and merger outcomes,JOURNAL OF FINANCIAL ECONOMICS,2003,69,3,10.1016/S0304-405X(03)00120-X
Brokerage Commissions and Institutional Trading Patterns,REVIEW OF FINANCIAL STUDIES,2009,22,12,10.1093/rfs/hhp083
Bubbles in the dividend-price ratio? Evidence from an asymmetric exponential smooth-transition model,JOURNAL OF BANKING & FINANCE,2007,31,3,10.1016/j.jbankfin.2006.02.006
Bubbles: Some perspectives (and loose talk) from history,REVIEW OF FINANCIAL STUDIES,2008,21,1,10.1093/rfs/hhn001
"Budget balance, welfare, and the growth rate: ""Dynamic scoring"" of the long-run government budget",JOURNAL OF MONEY CREDIT AND BANKING,1999,31,2,10.2307/2601228
Building an incentive-compatible safety net,JOURNAL OF BANKING & FINANCE,1999,23,10,10.1016/S0378-4266(99)00028-X
Building relationships early: Banks in venture capital,REVIEW OF FINANCIAL STUDIES,2008,21,2,10.1093/rfs/hhm080
Building the IPO order book: underpricing and participation limits with costly information,JOURNAL OF FINANCIAL ECONOMICS,2002,65,1,10.1016/S0304-405X(02)00133-2
Business collateral and personal commitments in SME lending,JOURNAL OF BANKING & FINANCE,2006,30,11,10.1016/j.jbankfin.2006.05.003
Business environment and the incorporation decision,JOURNAL OF BANKING & FINANCE,2006,30,11,10.1016/j.jbankfin.2006.05.007
Business ethics and organizational architecture,JOURNAL OF BANKING & FINANCE,2002,26,9,10.1016/S0378-4266(02)00193-0
Business groups and tunneling: Evidence from private securities offeringsby Korean chaebols,JOURNAL OF FINANCE,2006,61,5,10.1111/j.1540-6261.2006.01062.x
"Business groups, bank control, and large shareholders: An analysis of German takeovers",JOURNAL OF FINANCIAL INTERMEDIATION,2000,9,2,10.1006/jfin.2000.0281
"Business Networks, Corporate Governance, and Contracting in the Mutual Fund Industry",JOURNAL OF FINANCE,2009,64,5,10.1111/j.1540-6261.2009.01498.x
Business ties and proxy voting by mutual funds,JOURNAL OF FINANCIAL ECONOMICS,2007,85,2,10.1016/j.jfineco.2005.04.003
"Buy high, sell low: How listed firms price asset transfers in related party transactions",JOURNAL OF BANKING & FINANCE,2009,33,5,10.1016/j.jbankfin.2008.10.002
Buyer-supplier relationships and the stakeholder theory of capital structure,JOURNAL OF FINANCE,2008,63,5,10.1111/j.1540-6261.2008.01403.x
"Call options, points, and dominance restrictions on debt contracts",JOURNAL OF FINANCE,1999,54,6,10.1111/0022-1082.00190
"Can an Asia Pacific Community, similar to the European Community, emerge?",JOURNAL OF BANKING & FINANCE,2009,33,1,10.1016/j.jbankfin.2008.07.007
Can bank be a source of contagion during the 1997 Asian crisis?,JOURNAL OF BANKING & FINANCE,2004,28,2,10.1016/j.jbankfin.2003.02.001
"Can book-to-market, size and momentum be risk factors that predict economic growth?",JOURNAL OF FINANCIAL ECONOMICS,2000,57,2,10.1016/S0304-405X(00)00056-8
Can broker-dealer client surveys provide signals for debt investing?,JOURNAL OF BANKING & FINANCE,2011,35,5,10.1016/j.jbankfin.2010.09.026
Can commodity futures be profitably traded with quantitative market timing strategies?,JOURNAL OF BANKING & FINANCE,2008,32,9,10.1016/j.jbankfin.2007.12.011
Can costs of consumption adjustment explain asset pricing puzzles?,JOURNAL OF FINANCE,1999,54,2,10.1111/0022-1082.00119
Can foreign firms bond themselves effectively by renting US securities laws?,JOURNAL OF FINANCIAL ECONOMICS,2005,75,2,10.1016/j.jfineco.2004.02.001
Can Growth Options Explain the Trend in Idiosyncratic Risk?,REVIEW OF FINANCIAL STUDIES,2008,21,6,10.1093/rfs/hhl039
Can hedging tell the full story? Reconciling differences in United States aggregate- and industry-level exchange rate risk premium,JOURNAL OF FINANCIAL ECONOMICS,2008,90,2,10.1016/j.jfineco.2007.10.007
"Can insurers pay for the ""big one""? Measuring the capacity of the insurance market to respond to catastrophic losses",JOURNAL OF BANKING & FINANCE,2002,26,2-3,10.1016/S0378-4266(01)00234-5
Can interest rate volatility be extracted from the cross section of bond yields?,JOURNAL OF FINANCIAL ECONOMICS,2009,94,1,10.1016/j.jfineco.2008.06.007
Can Investors Profit from the Prophets? Security Analyst Recommendations and Stock Returns,JOURNAL OF FINANCE,2001,56,2,10.1111/0022-1082.00336
Can managerial discretion explain observed leverage ratios?,REVIEW OF FINANCIAL STUDIES,2004,17,1,10.1093/rfs/hhg036
Can managers forecast aggregate market returns?,JOURNAL OF FINANCE,2005,60,2,10.1111/j.1540-6261.2005.00752.x
Can managers successfully time the maturity structure of their debt issues ?,JOURNAL OF FINANCE,2006,61,4,10.1111/j.1540-6261.2006.00888.x
Can Markov switching models predict excess foreign exchange returns?,JOURNAL OF BANKING & FINANCE,2007,31,2,10.1016/j.jbankfin.2006.03.002
Can mergers ensure the survival of credit unions in the third millennium?,JOURNAL OF BANKING & FINANCE,2001,25,12,10.1016/S0378-4266(01)00193-5
Can Miracles Lead to Crises ? The Role of Optimism in Emerging Markets Crises,JOURNAL OF MONEY CREDIT AND BANKING,2009,41,6,10.1111/j.1538-4616.2009.00252.x
"Can mutual fund ""stars"" really pick stocks? New evidence from a bootstrap analysis",JOURNAL OF FINANCE,2006,61,6,10.1111/j.1540-6261.2006.01015.x
Can News Be a Major Source of Aggregate Fluctuations? A Bayesian DSGE Approach,JOURNAL OF MONEY CREDIT AND BANKING,2011,43,1,10.1111/j.1538-4616.2010.00363.x
Can nontradables generate substantial home bias?,JOURNAL OF MONEY CREDIT AND BANKING,2002,34,1,10.1353/mcb.2002.0034
Can pure play internet banking survive the credit crisis?,JOURNAL OF BANKING & FINANCE,2011,35,4,10.1016/j.jbankfin.2010.10.010
Can real options explain financing behavior?,JOURNAL OF FINANCIAL ECONOMICS,2008,89,2,10.1016/j.jfineco.2007.11.003
Can relationship banking survive competition?,JOURNAL OF FINANCE,2000,55,2,10.1111/0022-1082.00223
Can subordinated debt constrain banks' risk taking?,JOURNAL OF BANKING & FINANCE,2008,32,6,10.1016/j.jbankfin.2007.09.020
Can tax convexity be ignored in corporate financing decisions?,JOURNAL OF BANKING & FINANCE,2008,32,7,10.1016/j.jbankfin.2007.11.007
Can the evolution of implied volatility be forecasted? Evidence from European and US implied volatility indices,JOURNAL OF BANKING & FINANCE,2008,32,11,10.1016/j.jbankfin.2008.02.003
Can the financial markets privately regulate risk? The development of derivatives clearinghouses and recent over-the-counter innovations,JOURNAL OF MONEY CREDIT AND BANKING,1999,31,3,10.2307/2601077
Can the gains from international diversification be achieved without trading abroad?,JOURNAL OF FINANCE,1999,54,6,10.1111/0022-1082.00182
Can the trade-off theory explain debt structure?,REVIEW OF FINANCIAL STUDIES,2007,20,5,10.1093/revfin/hhl047
Can tighter money now mean higher inflation now?,JOURNAL OF MONEY CREDIT AND BANKING,1998,30,3,10.2307/2601108
Can transparent markets survive?,JOURNAL OF FINANCIAL ECONOMICS,2000,55,3,10.1016/S0304-405X(99)00056-2
Can VCs Time the Market? An Analysis of Exit Choice for Venture-backed Firms,REVIEW OF FINANCIAL STUDIES,2011,24,9,10.1093/rfs/hhr042
Can We Explain Inflation Persistence in a Way that Is Consistent with the Microevidence on Nominal Rigidity?,JOURNAL OF MONEY CREDIT AND BANKING,2010,42,1,10.1111/j.1538-4616.2009.00282.x
Candlestick technical trading strategies: Can they create value for investors?,JOURNAL OF BANKING & FINANCE,2006,30,8,10.1016/j.jbankfin.2005.08.001
Canonical term-structure models with observable factors and the dynamics of bond risk premia,JOURNAL OF MONEY CREDIT AND BANKING,2008,40,7,10.1111/j.1538-4616.2008.00167.x
Capital and risk: New evidence on implications of large operational losses,JOURNAL OF MONEY CREDIT AND BANKING,2006,38,7,10.1353/mcb.2006.0088
Capital budgeting and compensation with asymmetric information and moral hazard,JOURNAL OF FINANCIAL ECONOMICS,2001,61,3,10.1016/S0304-405X(01)00065-4
Capital budgeting and delegation,JOURNAL OF FINANCIAL ECONOMICS,1998,50,3,10.1016/S0304-405X(98)00038-5
"Capital budgeting in multidivision firms: Information, agency, and incentives",REVIEW OF FINANCIAL STUDIES,2004,17,3,10.1093/rfs/hhg050
"Capital Constraints, Asymmetric Information, and Internal Capital Markets in Banking: New Evidence",JOURNAL OF MONEY CREDIT AND BANKING,2010,42,5,10.1111/j.1538-4616.2010.00311.x
Capital controls and the international transmission of US money shocks,JOURNAL OF MONEY CREDIT AND BANKING,2007,39,5,10.1111/j.1538-4616.2007.00056.x
"Capital controls, liberalizations, and foreign direct investment",REVIEW OF FINANCIAL STUDIES,2006,19,4,10.1093/rfs/hhj041
"Capital expenditures, financial constraints, and the use of options",JOURNAL OF FINANCIAL ECONOMICS,2009,92,2,10.1016/j.jfineco.2008.04.007
Capital gains tax overhang and price pressure,JOURNAL OF FINANCE,2006,61,3,10.1111/j.1540-6261.2006.00876.x
Capital gains tax rates and the cost of capital for small business: evidence from the IPO market,JOURNAL OF FINANCIAL ECONOMICS,1999,53,3,10.1016/S0304-405X(99)00026-4
"Capital gains tax rules, tax-loss trading, and turn-of-the-year returns",JOURNAL OF FINANCE,2001,56,1,10.1111/0022-1082.00328
Capital gains taxation and stock market activity: Evidence from IPOs,JOURNAL OF FINANCE,1998,53,5,10.1111/0022-1082.00073
Capital gains taxes and asset prices: Capitalization or lock-in?,JOURNAL OF FINANCE,2008,63,2,10.1111/j.1540-6261.2008.01329.x
"Capital gains, dividend yields, and expected inflation",JOURNAL OF FINANCE,2003,58,1,10.1111/1540-6261.00530
Capital management in mutual financial institutions,JOURNAL OF BANKING & FINANCE,2009,33,3,10.1016/j.jbankfin.2008.08.016
"Capital market equilibrium with externalities, production and heterogeneous agents",JOURNAL OF BANKING & FINANCE,2005,29,12,10.1016/j.jbankfin.2004.11.004
Capital market frictions and deposit constraints at banks,JOURNAL OF MONEY CREDIT AND BANKING,2000,32,1,10.2307/2601093
Capital market frictions and the role of internal capital markets in banking,JOURNAL OF FINANCIAL ECONOMICS,1997,46,2,10.1016/S0304-405X(97)81511-5
Capital Market Regimes and Bank Structure in Europe,JOURNAL OF MONEY CREDIT AND BANKING,2010,42,6,10.1111/j.1538-4616.2010.00320.x
Capital markets and corporate structure: the equity carve-outs of Thermo Electron,JOURNAL OF FINANCIAL ECONOMICS,1998,48,1,10.1016/S0304-405X(98)00005-1
Capital markets and the exchange rate with special reference to the dollarization debate in Latin America,JOURNAL OF MONEY CREDIT AND BANKING,2001,33,2,10.2307/2673902
"Capital markets, financial intermediaries, and liquidity supply",JOURNAL OF BANKING & FINANCE,1998,22,9,10.1016/S0378-4266(98)00053-3
Capital raising in the offshore market,JOURNAL OF BANKING & FINANCE,1999,23,8,10.1016/S0378-4266(98)00135-6
"Capital regulation, heterogeneous monitoring costs, and aggregate loan quality",JOURNAL OF BANKING & FINANCE,2006,30,8,10.1016/j.jbankfin.2005.07.018
Capital requirements and bank behaviour: Empirical evidence for Switzerland,JOURNAL OF BANKING & FINANCE,2001,25,4,10.1016/S0378-4266(00)00105-9
Capital requirements and business cycle regimes: Forward-looking modelling of default probabilities,JOURNAL OF BANKING & FINANCE,2005,29,12,10.1016/j.jbankfin.2005.01.004
Capital requirements and rational discount-window borrowing,JOURNAL OF MONEY CREDIT AND BANKING,1998,30,4,10.2307/2601132
Capital requirements under the credit risk-based framework,JOURNAL OF BANKING & FINANCE,2011,35,6,10.1016/j.jbankfin.2010.10.003
"Capital requirements, market power, and risk-taking in banking",JOURNAL OF FINANCIAL INTERMEDIATION,2004,13,2,10.1016/j.jfi.2003.08.005
"Capital standard, forbearance and deposit insurance pricing under GARCH",JOURNAL OF BANKING & FINANCE,1999,23,11,10.1016/S0378-4266(99)00022-9
Capital structure and corporate control: The effect of antitakeover statutes on firm leverage,JOURNAL OF FINANCE,1999,54,2,10.1111/0022-1082.00116
Capital Structure and Debt Structure,REVIEW OF FINANCIAL STUDIES,2010,23,12,10.1093/rfs/hhq095
Capital structure and financial risk: Evidence from foreign debt use in East Asia,JOURNAL OF FINANCE,2003,58,6,10.1046/j.1540-6261.2003.00619.x
Capital structure and firm performance: A new approach to testing agency theory and an application to the banking industry,JOURNAL OF BANKING & FINANCE,2006,30,4,10.1016/j.jbankfin.2005.05.015
Capital structure and international debt shifting,JOURNAL OF FINANCIAL ECONOMICS,2008,88,1,10.1016/j.jfineco.2007.05.006
Capital structure and political patronage: The case of Malaysia,JOURNAL OF BANKING & FINANCE,2006,30,4,10.1016/j.jbankfin.2005.05.008
Capital structure and product market behavior: An examination of plant exit and investment decisions,REVIEW OF FINANCIAL STUDIES,1997,10,3,10.1093/rfs/10.3.767
Capital structure and product markets interactions: evidence from business cycles,JOURNAL OF FINANCIAL ECONOMICS,2003,68,3,10.1016/S0304-405X(03)00070-9
Capital structure around the world: The roles of firm- and country-specific determinants,JOURNAL OF BANKING & FINANCE,2008,32,9,10.1016/j.jbankfin.2007.12.034
Capital Structure as a Strategic Variable: Evidence from Collective Bargaining,JOURNAL OF FINANCE,2010,65,3,10.1111/j.1540-6261.2010.01565.x
Capital structure choice: macroeconomic conditions and financial constraints,JOURNAL OF FINANCIAL ECONOMICS,2003,68,1,10.1016/S0304-405X(02)00249-0
Capital structure decisions: Evidence from deregulated industries,JOURNAL OF FINANCIAL ECONOMICS,2010,95,2,10.1016/j.jfineco.2009.10.003
Capital structure dynamics and transitory debt,JOURNAL OF FINANCIAL ECONOMICS,2011,99,2,10.1016/j.jfineco.2010.09.005
Capital structure policies in Europe: Survey evidence,JOURNAL OF BANKING & FINANCE,2006,30,5,10.1016/j.jbankfin.2005.02.010
Capital structure with risky foreign investment,JOURNAL OF FINANCIAL ECONOMICS,2008,88,3,10.1016/j.jfineco.2007.05.002
"Capital structure, compensation and incentives",REVIEW OF FINANCIAL STUDIES,2006,19,2,10.1093/rfs/hhj010
"Capital structure, credit risk, and macroeconomic conditions",JOURNAL OF FINANCIAL ECONOMICS,2006,82,3,10.1016/j.jfineco.2005.10.003
"Capital structure, equity ownership and firm performance",JOURNAL OF BANKING & FINANCE,2010,34,3,10.1016/j.jbankfin.2009.08.023
Capital structures in developing countries,JOURNAL OF FINANCE,2001,56,1,10.1111/0022-1082.00320
Capital subsidies versus labor subsidies: A trade-off between capital and employment?,JOURNAL OF MONEY CREDIT AND BANKING,2005,37,5,10.1353/mcb.2005.0056
"Capital-based regulation, portfolio risk and capital determination: Empirical evidence from the US property-liability insurers",JOURNAL OF BANKING & FINANCE,2010,34,10,10.1016/j.jbankfin.2010.04.003
"Capital, corporate income taxes, and catastrophe insurance",JOURNAL OF FINANCIAL INTERMEDIATION,2003,12,4,10.1016/j.jfi.2003.07.001
Capitalizing on Partisan Politics? The Political Economy of Sector-Specific Redistribution in Germany,JOURNAL OF MONEY CREDIT AND BANKING,2010,42,2-3,10.1111/j.1538-4616.2009.00285.x
CAPM and APT-like models with risk measures,JOURNAL OF BANKING & FINANCE,2010,34,6,10.1016/j.jbankfin.2009.11.013
Career concerns and resource allocation in conglomerates,REVIEW OF FINANCIAL STUDIES,2004,17,1,10.1093/rfs/hhg043
Careers and survival: Competition and risk in the hedge fund and CTA industry,JOURNAL OF FINANCE,2001,56,5,10.1111/0022-1082.00392
Cash and corporate control,JOURNAL OF FINANCE,2004,59,5,10.1111/j.1540-6261.2004.00691.x
Cash flow and investment: Evidence from internal capital markets,JOURNAL OF FINANCE,1997,52,1,10.2307/2329557
"Cash Flow, Consumption Risk, and the Cross-section of Stock Returns",JOURNAL OF FINANCE,2009,64,2,10.1111/j.1540-6261.2009.01453.x
"Cash flow, investment, and investment opportunities: New tests using UK panel data",JOURNAL OF BANKING & FINANCE,2008,32,9,10.1016/j.jbankfin.2007.12.014
Cash Holdings and Corporate Diversification,JOURNAL OF FINANCE,2010,65,3,10.1111/j.1540-6261.2010.01558.x
Cash-flow shortage as an endogenous bankruptcy reason,JOURNAL OF BANKING & FINANCE,2005,29,6,10.1016/j.jbankfin.2004.06.026
Cash-in-the-Market Pricing and Optimal Resolution of Bank Failures,REVIEW OF FINANCIAL STUDIES,2008,21,6,10.1093/rfs/hhm078
"Cash, investments and asset returns",JOURNAL OF BANKING & FINANCE,2009,33,12,10.1016/j.jbankfin.2009.06.006
"Cashflow risk, systematic earnings revisions, and the cross-section of stock returns",JOURNAL OF FINANCIAL ECONOMICS,2009,94,3,10.1016/j.jfineco.2008.12.008
Catastrophic Risk and Credit Markets,JOURNAL OF FINANCE,2009,64,2,10.1111/j.1540-6261.2009.01446.x
Catching up with the joneses in a sticky price model,JOURNAL OF MONEY CREDIT AND BANKING,2004,36,1,10.1353/mcb.2004.0006
Catering effects in corporate dividend policy: The international evidence,JOURNAL OF BANKING & FINANCE,2009,33,9,10.1016/j.jbankfin.2009.04.005
Catering through Nominal Share Prices,JOURNAL OF FINANCE,2009,64,6,10.1111/j.1540-6261.2009.01511.x
"Caught on tape: Institutional trading, stock returns, and earnings announcements",JOURNAL OF FINANCIAL ECONOMICS,2009,92,1,10.1016/j.jfineco.2008.03.006
Causality in quantiles and dynamic stock return-volume relations,JOURNAL OF BANKING & FINANCE,2009,33,7,10.1016/j.jbankfin.2009.02.013
Causes and effects of corporate refocusing programs,REVIEW OF FINANCIAL STUDIES,1999,12,2,10.1093/rfs/12.2.311
Caution and conservatism in the making of monetary policy,JOURNAL OF MONEY CREDIT AND BANKING,2002,34,1,10.1353/mcb.2002.0035
Caveat compounder: A warning about using the daily CRSP equal-weighted index to compute long-run excess returns,JOURNAL OF FINANCE,1998,53,1,10.1111/0022-1082.165353
Central Bank Communication and the Liquidity Trap,JOURNAL OF MONEY CREDIT AND BANKING,2010,42,2-3,10.1111/j.1538-4616.2009.00291.x
Central bank design in general equilibrium,JOURNAL OF MONEY CREDIT AND BANKING,2004,36,1,10.1353/mcb.2004.0002
"Central bank independence, inflation, and growth in transition economies",JOURNAL OF MONEY CREDIT AND BANKING,1997,29,3,10.2307/2953701
Centralised order books versus hybrid order books: A paired comparison of trading costs on NSC (Euronext Paris) and SETS (London Stock Exchange),JOURNAL OF BANKING & FINANCE,2007,31,9,10.1016/j.jbankfin.2007.04.015
CEO compensation and bank mergers,JOURNAL OF FINANCIAL ECONOMICS,2001,61,1,10.1016/S0304-405X(01)00057-5
CEO Compensation and Board Structure,JOURNAL OF FINANCE,2009,64,1,10.1111/j.1540-6261.2008.01433.x
CEO compensation and incentives: Evidence from M&A bonuses,JOURNAL OF FINANCIAL ECONOMICS,2004,73,1,10.1016/j.jfineco.2003.06.002
"CEO compensation, change, and corporate strategy",JOURNAL OF FINANCE,2005,60,6,10.1111/j.1540-6261.2005.00814.x
"CEO compensation, diversification, and incentives",JOURNAL OF FINANCIAL ECONOMICS,2002,66,1,10.1016/S0304-405X(02)00150-2
CEO contracting and antitakeover amendments,JOURNAL OF FINANCE,1997,52,4,10.1111/j.1540-6261.1997.tb01118.x
CEO incentive plans and corporate liquidation policy,JOURNAL OF FINANCIAL ECONOMICS,1998,50,3,10.1016/S0304-405X(98)00040-3
CEO incentives and earnings management,JOURNAL OF FINANCIAL ECONOMICS,2006,80,3,10.1016/j.jfineco.2004.10.011
CEO involvement in the selection of new board members: An empirical analysis,JOURNAL OF FINANCE,1999,54,5,10.1111/0022-1082.00168
CEO optimism and forced turnover,JOURNAL OF FINANCIAL ECONOMICS,2011,101,3,10.1016/j.jfineco.2011.03.004
CEO overconfidence and corporate investment,JOURNAL OF FINANCE,2005,60,6,10.1111/j.1540-6261.2005.00813.x
"CEO ownership, external governance, and risk-taking",JOURNAL OF FINANCIAL ECONOMICS,2011,102,2,10.1016/j.jfineco.2011.07.002
CEO pay and the Lake Wobegon Effect,JOURNAL OF FINANCIAL ECONOMICS,2009,94,2,10.1016/j.jfineco.2008.12.006
CEO Replacement Under Private Information,REVIEW OF FINANCIAL STUDIES,2010,23,8,10.1093/rfs/hhq018
CEO reputation and stock-based compensation,JOURNAL OF FINANCIAL ECONOMICS,2003,68,2,10.1016/S0304-405X(03)00066-7
CEO turnover after acquisitions: Are bad bidders fired ?,JOURNAL OF FINANCE,2006,61,4,10.1111/j.1540-6261.2006.00889.x
CEO turnover and bondholder wealth,JOURNAL OF BANKING & FINANCE,2009,33,3,10.1016/j.jbankfin.2008.09.005
CEO turnover and outside succession A cross-sectional analysis,JOURNAL OF FINANCIAL ECONOMICS,1997,46,2,10.1016/S0304-405X(97)00028-7
CEO turnover in insider-dominated boards: The Italian case,JOURNAL OF BANKING & FINANCE,2003,27,6,10.1016/S0378-4266(02)00244-3
CEOs versus CFOs: Incentives and corporate policies,JOURNAL OF FINANCIAL ECONOMICS,2010,97,2,10.1016/j.jfineco.2010.03.018
CEOs' outside employment opportunities and the lack of relative performance evaluation in compensation contracts,JOURNAL OF FINANCE,2006,61,4,10.1111/j.1540-6261.2006.00890.x
"Cephalon, Inc. Taking risk management theory seriously",JOURNAL OF FINANCIAL ECONOMICS,2001,60,2-3,10.1016/S0304-405X(01)00050-2
CFOs and CEOs: Who have the most influence on earnings management?,JOURNAL OF FINANCIAL ECONOMICS,2010,96,3,10.1016/j.jfineco.2010.02.007
CFOs versus CEOs: Equity incentives and crashes,JOURNAL OF FINANCIAL ECONOMICS,2011,101,3,10.1016/j.jfineco.2011.03.013
Changes in market assessments of bank risk following the Riegle-Neal Act of 1994,JOURNAL OF BANKING & FINANCE,2003,27,1,10.1016/S0378-4266(01)00208-4
Changes in systematic risk following global equity issuance,JOURNAL OF BANKING & FINANCE,2000,24,9,10.1016/S0378-4266(99)00094-1
Changes in the Federal Reserve's inflation target: Causes and consequences,JOURNAL OF MONEY CREDIT AND BANKING,2007,39,8,10.1111/j.1538-4616.2007.00091.x
Changes in the world's financial markets in the last 30 years and their implications for the future,JOURNAL OF BANKING & FINANCE,2008,32,8,10.1016/j.jbankfin.2008.03.001
"Changes of numeraire for pricing futures, forwards, and options",REVIEW OF FINANCIAL STUDIES,1999,12,5,10.1093/rfs/12.5.1143
"Changing Monetary Policy Rules, Learning, and Real Exchange Rate Dynamics",JOURNAL OF MONEY CREDIT AND BANKING,2009,41,6,10.1111/j.1538-4616.2009.00246.x
Changing names with style: Mutual fund name changes and their effects on fund flows,JOURNAL OF FINANCE,2005,60,6,10.1111/j.1540-6261.2005.00818.x
Characteristics determining the efficiency of foreign banks in Australia,JOURNAL OF BANKING & FINANCE,2008,32,11,10.1016/j.jbankfin.2007.12.029
Characteristics of risk and return in risk arbitrage,JOURNAL OF FINANCE,2001,56,6,10.1111/0022-1082.00401
"Characteristics, contracts, and actions: Evidence from venture capitalist analyses",JOURNAL OF FINANCE,2004,59,5,10.1111/j.1540-6261.2004.00696.x
"Characteristics, covariances, and average returns: 1929 to 1997",JOURNAL OF FINANCE,2000,55,1,10.1111/0022-1082.00209
Charity donations and the Euro introduction: Some quasi-experimental evidence on money illusion,JOURNAL OF MONEY CREDIT AND BANKING,2004,36,6,10.1353/mcb.2005.0011
"Charter value, risk-taking incentives, and emerging competition for Fannie Mae and Freddie Mac",JOURNAL OF MONEY CREDIT AND BANKING,2007,39,1,10.1111/j.0022-2879.2007.00004.x
"Cheap talk, fraud, and adverse selection in financial markets: Some experimental evidence",REVIEW OF FINANCIAL STUDIES,1999,12,3,10.1093/rfs/12.3.481
China share issue privatization: the extent of its success,JOURNAL OF FINANCIAL ECONOMICS,2003,70,2,10.1016/S0304-405X(03)00145-4
China's financial services industry: The intra-industry effects of privatization of the Bank of China Hong Kong,JOURNAL OF BANKING & FINANCE,2005,29,8-9,10.1016/j.jbankfin.2005.03.016
China's official rates and bond yields,JOURNAL OF BANKING & FINANCE,2010,34,5,10.1016/j.jbankfin.2009.10.010
Choice of financing source in international debt markets,JOURNAL OF FINANCIAL INTERMEDIATION,2001,10,3-4,10.1006/jfin.2001.0318
Choosing an exchange-rate system,JOURNAL OF BANKING & FINANCE,1999,23,10,10.1016/S0378-4266(99)00027-8
Choosing to cofinance: Analysis of project-specific alliances in the movie industry,REVIEW OF FINANCIAL STUDIES,2008,21,2,10.1093/rfs/hhm064
Circuit theory of banking and finance,JOURNAL OF BANKING & FINANCE,2001,25,5,10.1016/S0378-4266(00)00100-X
Citicorp-Travelers Group merger: Challenging barriers between banking and insurance,JOURNAL OF BANKING & FINANCE,2001,25,8,10.1016/S0378-4266(00)00134-5
Cities and countries,JOURNAL OF MONEY CREDIT AND BANKING,2006,38,8,10.1353/mcb.2007.0009
City size and fund performance,JOURNAL OF FINANCIAL ECONOMICS,2009,92,2,10.1016/j.jfineco.2008.06.001
"Classified boards, firm value, and managerial entrenchment",JOURNAL OF FINANCIAL ECONOMICS,2007,83,2,10.1016/j.jfineco.2006.01.005
Clearly irrational financial market behavior: Evidence from the early exercise of exchange traded stock options,JOURNAL OF FINANCE,2003,58,1,10.1111/1540-6261.00518
"Client discretion, switching costs, and financial innovation",REVIEW OF FINANCIAL STUDIES,2000,13,4,10.1093/rfs/13.4.1101
Closed form solutions for term structure derivatives with log-normal interest rates,JOURNAL OF FINANCE,1997,52,1,10.2307/2329571
Closed-end fund discounts with informed ownership differential,JOURNAL OF FINANCIAL INTERMEDIATION,2001,10,2,10.1006/jfin.2001.0313
Closed-form transformations from risk-neutral to real-world distributions,JOURNAL OF BANKING & FINANCE,2007,31,5,10.1016/j.jbankfin.2006.09.005
Club deals in leveraged buyouts,JOURNAL OF FINANCIAL ECONOMICS,2010,98,2,10.1016/j.jfineco.2010.05.007
Coherent measures of risk from a general equilibrium perspective,JOURNAL OF BANKING & FINANCE,2007,31,8,10.1016/j.jbankfin.2006.10.026
Coherent risk measures under filtered historical simulation,JOURNAL OF BANKING & FINANCE,2005,29,4,10.1016/j.jbankfin.2004.08.009
Cointegration and Consumption Risks in Asset Returns,REVIEW OF FINANCIAL STUDIES,2009,22,3,10.1093/rfs/hhm085
Collars and renegotiation in mergers and acquisitions,JOURNAL OF FINANCE,2004,59,6,10.1111/j.1540-6261.2004.00714.x
Collateral damage: Refinancing constraints and regional recessions,JOURNAL OF MONEY CREDIT AND BANKING,1997,29,4,10.2307/2953710
Collateral pricing,JOURNAL OF FINANCIAL ECONOMICS,2009,91,3,10.1016/j.jfineco.2008.03.003
Collateral Spread and Financial Development,JOURNAL OF FINANCE,2010,65,1,10.1111/j.1540-6261.2009.01526.x
Collateral Values by Asset Class: Evidence from Primary Securities Dealers,REVIEW OF FINANCIAL STUDIES,2011,24,1,10.1093/rfs/hhq108
Collateral-based lending in emerging markets: Evidence from Thailand,JOURNAL OF BANKING & FINANCE,2006,30,1,10.1016/j.jbankfin.2004.12.004
"Collateral, credit history, and the financial decelerator",JOURNAL OF FINANCIAL INTERMEDIATION,2008,17,1,10.1016/j.jfi.2007.07.001
"Collateral, debt capacity, and corporate investment: Evidence from a natural experiment",JOURNAL OF FINANCIAL ECONOMICS,2007,85,3,10.1016/j.jfineco.2006.06.007
"Collateral, Risk Management, and the Distribution of Debt Capacity",JOURNAL OF FINANCE,2010,65,6,10.1111/j.1540-6261.2010.01616.x
"Collateral, type of lender and relationship banking as determinants of credit risk",JOURNAL OF BANKING & FINANCE,2004,28,9,10.1016/j.jbankfin.2003.09.002
Collective risk management in a flight to quality episode,JOURNAL OF FINANCE,2008,63,5,10.1111/j.1540-6261.2008.01394.x
Combining fair pricing and capital requirements for non-life insurance companies,JOURNAL OF BANKING & FINANCE,2008,32,12,10.1016/j.jbankfin.2008.05.009
Combining Judgment and Models,JOURNAL OF MONEY CREDIT AND BANKING,2010,42,8,10.1111/j.1538-4616.2010.00357.x
Combining mean reversion and momentum trading strategies in foreign exchange markets,JOURNAL OF BANKING & FINANCE,2010,34,11,10.1016/j.jbankfin.2010.05.011
"Commercial bank net interest margins, default risk, interest-rate risk, and off-balance sheet banking",JOURNAL OF BANKING & FINANCE,1997,21,1,10.1016/S0378-4266(96)00025-8
Commercial banks as underwriters: implications for the going public process,JOURNAL OF FINANCIAL ECONOMICS,1999,54,2,10.1016/S0304-405X(99)00034-3
Commercial lending and distance: Evidence from Community Reinvestment Act data,JOURNAL OF MONEY CREDIT AND BANKING,2006,38,8,10.1353/mcb.2007.0000
Commercially available order flow data and exchange rate movements: Caveat emptor,JOURNAL OF MONEY CREDIT AND BANKING,2008,40,4,10.1111/j.1538-4616.2008.00129.x
Commitment or entrenchment?: Controlling shareholders and board composition,JOURNAL OF BANKING & FINANCE,2005,29,7,10.1016/j.jbankfin.2004.07.004
Commodity betas with mean reverting output prices,JOURNAL OF BANKING & FINANCE,2008,32,7,10.1016/j.jbankfin.2007.10.009
Commodity derivatives valuation with autoregressive and moving average components in the price dynamics,JOURNAL OF BANKING & FINANCE,2010,34,11,10.1016/j.jbankfin.2010.05.010
Common asset pricing factors in volatilies and returns in futures markets,JOURNAL OF BANKING & FINANCE,2003,27,12,10.1016/S0378-4266(03)00056-6