Citations for "Competing for Securities Underwriting Mandates: Banking Relationships and Analyst Recommendations"
by Ljungqvist, Alexander P & Marston, Felicia & Wilhelm Jr, William J
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- Pinegar, J. Michael & Ravichandran, Ravi, 2010.
"Raising capital in emerging markets with restricted Global Depositary Receipts,"
Journal of Corporate Finance,
Elsevier, vol. 16(5), pages 622-636, December.
- Ljungqvist, Alexander P & Marston, Felicia & Starks, Laura T & Wei, Kelsey D. & Yan, Hong, 2005.
"Conflicts of Interest in Sell-Side Research and the Moderating Role of Institutional Investors,"
CEPR Discussion Papers
5001, C.E.P.R. Discussion Papers.
- Ljungqvist, Alexander & Marston, Felicia & Starks, Laura T. & Wei, Kelsey D. & Yan, Hong, 2007.
"Conflicts of interest in sell-side research and the moderating role of institutional investors,"
Journal of Financial Economics,
Elsevier, vol. 85(2), pages 420-456, August.
- Hamid Mehran & Rene M. Stulz, 2006.
"The Economics of Conflicts of Interest in Financial Institutions,"
NBER Working Papers
12695, National Bureau of Economic Research, Inc.
- Shivdasani, Anil & Song, Wei-Ling, 2011.
"Breaking down the barriers: Competition, syndicate structure, and underwriting incentives,"
Journal of Financial Economics,
Elsevier, vol. 99(3), pages 581-600, March.
- Wu, Joanna Shuang & Zang, Amy Y., 2009.
"What determine financial analysts' career outcomes during mergers?,"
Journal of Accounting and Economics,
Elsevier, vol. 47(1-2), pages 59-86, March.
- Kutsuna, Kenji & Smith, Janet Kiholm & Smith, Richard L., 2007.
"Banking relationships and access to equity capital markets: Evidence from Japan's main bank system,"
Journal of Banking & Finance,
Elsevier, vol. 31(2), pages 335-360, February.
- Sette, Enrico, 2011.
"Competition and optimistic advice of financial analysts: Evidence from IPOs,"
Journal of Financial Intermediation,
Elsevier, vol. 20(3), pages 441-457, July.
- Simona Mola & Massimo Guidolin, 2007.
"Affiliated mutual funds and analyst optimism,"
Working Papers
2007-017, Federal Reserve Bank of St. Louis.
- Simona Mola & Massimo Guidolin, 2006.
"Why do analysts continue to provide favorable coverage for seasoned stocks?,"
Working Papers
2006-034, Federal Reserve Bank of St. Louis.
- Steven Drucker & Manju Puri, 2004.
"Tying knots: lending to win equity underwriting business,"
Proceedings,
Federal Reserve Bank of Chicago, issue May, pages 428-435.
- Chen, Zhaohui & Wilhelm Jr, William J, 2005.
"The Industrial Organization of Financial Market Information Production,"
CEPR Discussion Papers
5314, C.E.P.R. Discussion Papers.
- Allen, Linda & Peristiani, Stavros, 2007.
"Loan underpricing and the provision of merger advisory services,"
Journal of Banking & Finance,
Elsevier, vol. 31(12), pages 3539-3562, December.
- AltInkIlIç, Oya & Hansen, Robert S., 2009.
"On the information role of stock recommendation revisions,"
Journal of Accounting and Economics,
Elsevier, vol. 48(1), pages 17-36, October.
- Trauten, Andreas, 2004.
"Zur Effizienz von Wertpapieremissionen über Internetplattformen,"
Working Papers
8, Competence Center Internet Economy and Hybrid Systems, European Research Center for Information Systems (ERCIS), University of Münster.
- Steven Drucker, 2005.
"Information asymmetries and the effects of banking mergers of firm-bank relationships,"
Proceedings,
Federal Reserve Bank of Chicago, issue May, pages 140-147.
- Erik Sirri, 2004.
"Investment banks, scope, and unavoidable conflicts of interest,"
Economic Review,
Federal Reserve Bank of Atlanta, issue Q 4, pages 23-35.
- Sebastián Nieto-Parra, 2009.
"Who Saw Sovereign Debt Crises Coming?,"
Journal of LACEA Economia,
LACEA - LATIN AMERICAN AND CARIBBEAN ECONOMIC ASSOCIATION.
- Duarte-Silva, Tiago, 2010.
"The market for certification by external parties: Evidence from underwriting and banking relationships,"
Journal of Financial Economics,
Elsevier, vol. 98(3), pages 568-582, December.
- Deng, Saiying (Esther) & Elyasiani, Elyas & Mao, Connie X., 2007.
"Diversification and the cost of debt of bank holding companies,"
Journal of Banking & Finance,
Elsevier, vol. 31(8), pages 2453-2473, August.
- Lauren Cohen & Andrea Frazzini & Christopher Malloy, 2008.
"Sell Side School Ties,"
NBER Working Papers
13973, National Bureau of Economic Research, Inc.
- John Asker, 2006.
"Sharing Investment Bankers,"
Working Papers
06-23, New York University, Leonard N. Stern School of Business, Department of Economics.
- Hao, (Grace) Qing, 2011.
"Securities litigation, withdrawal risk and initial public offerings,"
Journal of Corporate Finance,
Elsevier, vol. 17(3), pages 438-456, June.
- Ozgur E. Ergungor & Leonardo Madureira & Nandkumar Nayar & Ajai K. Singh, 2011.
"Banking relationships and sell-side research,"
Working Paper
1114, Federal Reserve Bank of Cleveland.
- Luca Benzoni & Carola Schenone, 2007.
"Conflict of interest and certification in the U.S. IPO market,"
Working Paper Series
WP-07-09, Federal Reserve Bank of Chicago.
- Clarke, Jonathan & Khorana, Ajay & Patel, Ajay & Rau, P. Raghavendra, 2007.
"The impact of all-star analyst job changes on their coverage choices and investment banking deal flow,"
Journal of Financial Economics,
Elsevier, vol. 84(3), pages 713-737, June.
- Walter Boudry & Jarl Kallberg & Crocker Liu, 2011.
"Analyst Behavior and Underwriter Choice,"
The Journal of Real Estate Finance and Economics,
Springer, vol. 43(1), pages 5-38, July.
- Lidén, Erik R. & Rosenberg, Markus, 2006.
"Ten Years of Misleading Information - Investment Advice in Printed Media,"
Working Papers in Economics
230, University of Gothenburg, Department of Economics.
- Degeorge, François & Derrien, Francois & Womack, Kent L, 2004.
"Quid Pro Quo in IPOs: Why Book-Building is Dominating Auctions,"
CEPR Discussion Papers
4462, C.E.P.R. Discussion Papers.
- Steven Drucker & Manju Puri, 2004.
"The Tying of Lending and Equity Underwriting,"
NBER Working Papers
10491, National Bureau of Economic Research, Inc.
- Chen, Mark A. & Marquez, Robert, 2009.
"Regulating securities analysts,"
Journal of Financial Intermediation,
Elsevier, vol. 18(2), pages 259-283, April.
- Kenneth A. Carow & Edward J. Kane & Rajesh P. Narayanan, 2005.
"Winners and Losers from Enacting the Financial Modernization Statute,"
NBER Working Papers
11256, National Bureau of Economic Research, Inc.
- Ramnath, Sundaresh & Rock, Steve & Shane, Philip, 2008.
"The financial analyst forecasting literature: A taxonomy with suggestions for further research,"
International Journal of Forecasting,
Elsevier, vol. 24(1), pages 34-75.
- Lidén, Erik R., 2004.
"Are Underwriter-Analysts More Informed? Scandinavian Evidence,"
Working Papers in Economics
132, University of Gothenburg, Department of Economics, revised 19 Nov 2004.
- Brown, Nerissa C. & Wei, Kelsey D. & Wermers, Russ, 2007.
"Analyst recommendations, mutual fund herding, and overreaction in stock prices,"
CFR Working Papers
07-08, University of Cologne, Centre for Financial Research (CFR).
- Loureiro, Gilberto, 2010.
"The reputation of underwriters: A test of the bonding hypothesis,"
Journal of Corporate Finance,
Elsevier, vol. 16(4), pages 516-532, September.
- Bradley, Daniel & Choi, Hyung-Suk & Clarke, Jonathan, 2011.
"Working for the enemy? The impact of investment banker job changes on deal flow,"
Journal of Empirical Finance,
Elsevier, vol. 18(4), pages 585-596, September.
- Carter, Richard B. & Dark, Frederick H. & Sapp, Travis R.A., 2010.
"Underwriter reputation and IPO issuer alignment 1981-2005,"
The Quarterly Review of Economics and Finance,
Elsevier, vol. 50(4), pages 443-455, November.
- Carter, Richard B. & Strader, Troy J., 2009.
"The market versus the analyst: Biases and predictive ability,"
The Quarterly Review of Economics and Finance,
Elsevier, vol. 49(2), pages 398-416, May.
- Madureira, Leonardo & Underwood, Shane, 2008.
"Information, sell-side research, and market making,"
Journal of Financial Economics,
Elsevier, vol. 90(2), pages 105-126, November.
- Yasuda, Ayako, 2007.
"Bank relationships and underwriter competition: Evidence from Japan,"
Journal of Financial Economics,
Elsevier, vol. 86(2), pages 369-404, November.