Content
2023, Volume 12, Issue 1
- 1-35 Firm Finances and the Spread of COVID-19: Evidence from Nursing Homes
[Characteristics of US nursing homes with COVID-19 cases]
by Taylor A Begley & Daniel Weagley - 36-77 When Does Higher Firm Leverage Lead to Higher Employee Pay?
[Labor unemployment risk and corporate financing decisions]
by Timothy E Dore & Rebecca Zarutskie & Andrew Ellul - 78-130 Equity Issuance Methods and Dilution
[Corporate governance objectives of labor union shareholders: Evidence from proxy voting]
by Mike Burkart & Hongda Zhong & Andrew Ellul - 131-169 Foreign Banks, Liquidity Shocks, and Credit Stability
[Some tests of specification for panel data: Monte Carlo evidence and an application to employment equations]
by Daniel Belton & Leonardo Gamba & Sotirios Kokas & Raoul Minetti & Andrew Ellul - 170-190 Passivity on the Board of Directors
[Information aggregation in standing and ad hoc committees]
by Chris YungMc & Uday Rajan
2022, Volume 11, Issue 4
- 815-848 Do Security Analysts Discipline Credit Rating Agencies?
[Credit ratings accuracy and analyst incentives]
by Kingsley Fong & Harrison Hong & Marcin Kacperczyk & Jeffrey D Kubik - 849-879 COVID-19 and Corporate Finance
[The risk of being a fallen angel and the corporate dash for cash in the midst of COVID]
by Marco Pagano & Josef Zechner - 880-922 Sharing R&D Risk in Healthcare via FDA Hedges
[Bank lines of credit as contingent liquidity: Covenant violations and their implications]
by Adam Jørring & Andrew W Lo & Tomas J Philipson & Manita Singh & Richard T Thakor - 923-964 Disregarding the Shoulders of Giants: Inferences from Innovation Research
[Innovation and institutional ownership]
by David M Reeb & Wanli Zhao
2022, Volume 11, Issue 3
- 457-464 Discrimination, Disparities, and Diversity in Finance
by Andrew Ellul & Isil Erel & Camelia Kuhnen & Uday Rajan - 465-510 Does Homeownership Reduce Wealth Disparities for Low-Income and Minority Households?
by Ashleigh Eldemire & Kimberly F Luchtenberg & Matthew M Wynter - 511-553 Hidden Performance: Salary History Bans and the Gender Pay Gap
by Jesse Davis & Paige Ouimet & Xinxin Wang - 554-604 What’s Good for Women Is Good for Science: Evidence from the American Finance Association
by Renée Adams & Michelle Lowry - 605-643 The Disparate Effect of Nudges on Minority Groups
by Maya Haran Rosen & Orly Sade - 644-693 Determinants of LGBTQ+ Corporate Policies
by Tanja Artiga González & Paul Calluzzo & G Nathan Dong & Georg D Granic - 694-735 Social Change through Financial Innovation: Evidence from Donor-Advised Funds
by Jillian Grennan - 736-774 Culture, Lending Relationships, and the Cost of Credit
by Giorgio Albareto & Maddalena Galardo & Paolo EmilioMistrulli & Bianca Sorvillo - 775-813 Racial Disparities in Mortgage Lending: New Evidence Based on Processing Time
by Bin Wei & Feng Zhao
2022, Volume 11, Issue 2
- 213-262 P2P Lenders versus Banks: Cream Skimming or Bottom Fishing?
[Loan officer incentives, internal rating models and default rates]
by Calebe de Roure & Loriana Pelizzon & Anjan Thakor - 263-313 Are Directors Rewarded for Excellence? Evidence from Reputation Shocks and Career Outcomes
[A theory of friendly boards]
by Mark A Chen & Hai Tran & Qinxi Wu & Evgenia Zhivotova - 314-363 Optimal Capital Structure with Imperfect Competition
[Anatomy of financial distress: An examination of junk-bond issuers]
by Egor Matveyev & Alexei Zhdanov - 364-413 Do Ex-Bankers Benefit Nonfinancial Firms? Evidence from Job Transitions
[Loan prospecting and the loss of soft information]
by Lucy Chernykh & Sergey Mityakov - 414-456 Shadow Insurance? Money Market Fund Investors and Bank Sponsorship
[Do global banks spread global imbalances? Asset-backed commercial paper during the financial crisis of 2007–09]
by Stefan Jacewitz & Haluk Unal & Chengjun Wu
2022, Volume 11, Issue 1
- 1-46 The Wisdom of Crowds in FinTech: Evidence from Initial Coin Offerings
by Jongsub Lee & Tao Li & Donghwa Shin - 47-87 The Effect of Taxation on Corporate Financing and Investment
by Hong Chen & Murray Z Frank - 88-127 How Do Capital Requirements Affect Loan Rates? Evidence from High Volatility Commercial Real Estate
by David Glancy & Robert Kurtzman - 128-168 Golden Handcuffs and Corporate Innovation: Evidence from Defined Benefit Pension Plans
by Huu Nhan Duong & Bin Qiu & S Ghon Rhee - 169-210 Seed-Stage Success and Growth of Angel Co-investment Networks
by Buvaneshwaran Venugopal & Vijay Yerramilli
2021, Volume 10, Issue 4
- 641-693 Public Firm Borrowers of the U.S. Paycheck Protection Program
[The risk of being a fallen angel and the corporate dash for cash in the midst of COVID]
by Anna Cororaton & Samuel Rosen - 694-747 Private Equity and the Resolution of Financial Distress
[Does industry-wide distress affect defaulted firms?]
by Edith S Hotchkiss & David C Smith & Per Strömberg - 748-787 Investor Rewards to Climate Responsibility: Stock-Price Responses to the Opposite Shocks of the 2016 and 2020 U.S. Elections
[Asset pricing with liquidity risk]
by Stefano Ramelli & Alexander F Wagner & Richard J Zeckhauser & Alexandre Ziegler - 788-812 How Are Bankers Paid?
[The dark side of liquidity creation: Leverage and systemic risk]
by Benjamin Bennett & Radhakrishnan Gopalan & Anjan Thakor - 813-855 Effect of the Equity Capital Ratio on the Relationship between Competition and Bank Risk-Taking Behavior
[Liquidity and leverage]
by Jia Hao & Kuncheng Zheng - 856-894 Stock Market Information and Innovative Investment in the Supply Chain
[Corporate equity ownership, strategic alliances, and product market relationships]
by Lantian Liang & Ryan Williams & Steven Chong Xiao
2021, Volume 10, Issue 3
- 437-472 Skilled Labor Risk and Corporate Policies
[The growth of low skill service jobs and the polarization of the U.S. labor market]
by Yue Qiu & Tracy Yue Wang - 473-512 Short-termism, Managerial Talent, and Firm Value
[Seeking alpha: Excess risk taking and competition for managerial talent]
by Richard T Thakor - 513-550 Staggered Boards and the Value of Voting Rights
[One share-one vote: The empirical evidence]
by Oğuzhan Karakas & Mahdi Mohseni - 551-577 Common Ownership and Corporate Social Responsibility
[Connected stocks]
by Xin Dai & Yue Qiu - 578-632 Dividends versus Stock Repurchases and Long-Run Stock Returns under Heterogeneous Beliefs
[A theory of dividends based on tax clienteles]
by Onur Bayar & Thomas J Chemmanur & Mark H Liu
2021, Volume 10, Issue 2
- 273-305 Wages and Firm Performance: Evidence from the 2008 Financial Crisis
[The effect of wage bargains on the stock market value of the firm]
by Paige Ouimet & Elena Simintzi - 306-346 Hard Marriage with Heavy Burdens: Organized Labor as Takeover Deterrents
[Length of service and layoffs in union and non-union work groups]
by Xuan Tian & Wenyu Wang - 347-401 Rethinking the Use of Credit Ratings in Capital Regulations: Evidence From the Insurance Industry
[Causes of the financial crisis]
by Kathleen Weiss Hanley & Stanislava Nikolova - 402-435 Brand Equity, Earnings Management, and Financial Reporting Irregularities
[Measuring brand equity across products and markets]
by Ghada M Ismail & Fariz Huseynov & Pankaj K Jain & Thomas H McInish
2021, Volume 10, Issue 1
- 1-43 Institutional Investors and Hedge Fund Activism
by Simi Kedia & Laura T. Starks & Xianjue Wang - 44-81 Competition for Flow and Short-Termism in Activism
by Mike Burkart & Amil Dasgupta - 82-135 Information Bias in the Proxy Advisory Market
by Shichao Ma & Yan Xiong - 136-157 Proxy Advisory Firms, Governance, Market Failure, and Regulation
by Chester S. Spatt - 158-187 Short-Selling Bans and Bank Stability
by Alessandro Beber & Daniela Fabbri & Marco Pagano & Saverio Simonelli - 188-203 Efficient Programs to Support Businesses During and After Lockdowns
by Thomas Philippon - 204-251 Crisis Poison Pills
by Ofer Eldar & Michael D. Wittry - 252-271 The Annual Report of the Society for Financial Studies for 2019–2020
by Kalok Chan & Andrew Ellul & Itay Goldstein & Craig Holden & Monika Piazzesi & Jeffrey Pontiff
2020, Volume 9, Issue 3
- 421-429 The COVID-19 Pandemic Crisis and Corporate Finance
by Andrew Ellul & Isil Erel & Uday Rajan - 430-471 The Risk of Being a Fallen Angel and the Corporate Dash for Cash in the Midst of COVID
by Viral V Acharya & Sascha Steffen - 472-500 Banks as Lenders of First Resort: Evidence from the COVID-19 Crisis
by Lei Li & Philip E Strahan & Song Zhang - 501-533 How Did COVID-19 Affect Firms’ Access to Public Capital Markets?
by Michael Halling & Jin Yu & Josef Zechner - 534-568 The COVID-19 Shock and Equity Shortfall: Firm-Level Evidence from Italy
by Elena Carletti & Tommaso Oliviero & Marco Pagano & Loriana Pelizzon & Marti G Subrahmanyam - 569-592 Identifying the Real Effects of Zombie Lending
by Fabiano Schivardi & Enrico Sette & Guido Tabellini - 593-621 Resiliency of Environmental and Social Stocks: An Analysis of the Exogenous COVID-19 Market Crash
by Rui Albuquerque & Yrjo Koskinen & Shuai Yang & Chendi Zhang - 622-655 Feverish Stock Price Reactions to COVID-19
by Stefano Ramelli & Alexander F Wagner - 656-665 The Macroeconomics of Corporate Debt
by Markus Brunnermeier & Arvind Krishnamurthy
2020, Volume 9, Issue 2
- 229-255 Banks’ Noninterest Income and Systemic Risk
[A theory of systemic risk and design of prudential bank regulation]
by Markus K Brunnermeier & Gang Nathan Dong & Darius Palia - 256-301 Managerial Attributes, Incentives, and Performance
[High wage workers and high wage firms]
by Jeffrey L Coles & Zhichuan (Frank) Li - 302-339 How Do Executives Exercise Their Stock Options?
[Are executive stock option exercises driven by private information?]
by Daniel Klein & Ernst Maug - 340-383 Corporate Innovation and Returns
[Last-in first-out oligopoly dynamics]
by Jan Bena & Lorenzo Garlappi - 384-419 Tournament Incentives and Acquisition Performance
[Powerful CEOs and their impact on firm performance]
by Iftekhar Hasan & Marco Navone & Thomas Y To & Eliza Wu
2020, Volume 9, Issue 1
- 1-43 How Do Laws and Institutions Affect Recovery Rates for Collateral?
by Hans Degryse & Vasso Ioannidou & José María Liberti & Jason Sturgess - 44-80 Tough Love: The Effects of Debt Contract Design on Firms’ Performance
by Ioannis Spyridopoulos - 81-115 The Mutual Friend: Dual Holder Monitoring and Firm Investment Efficiency
by Miguel Antón & Luca X Lin - 116-164 Cross-Country Competitive Effects of Cross-Listings
by Sergei Sarkissian & Yan Wang - 165-206 Corporate Inversions: Going beyond Tax Incentives
by Burcin Col & Rose Liao & Stefan Zeume - 207-226 Annual Report of the Society for Financial Studies for 2018–2019
by Andrew Ellul & Itay Goldstein & Craig Holden & Ron Masulis & Jeffrey Pontiff & Antoinette Schoar
2019, Volume 8, Issue 1
- 1-41 Information: Hard and Soft
by José María Liberti & Mitchell A Petersen - 42-96 How Should a Firm Go Public? A Dynamic Model of the Choice between Fixed-Price Offerings and Auctions in IPOs and Privatizations
by Thomas J Chemmanur & Mark H Liu - 97-145 Inventory and Corporate Risk Management
by Marco Bianco & Andrea Gamba - 146-173 Optimal Security Design under Asymmetric Information and Profit Manipulation
by Kostas Koufopoulos & Roman Kozhan & Giulio Trigilia - 174-206 Is It Time to Get Rid of Earnings-per-Share (EPS)?
by Heitor Almeida - 207-233 Short-Termism and Capital Flows
by Jesse M Fried & Charles C Y Wang
2018, Volume 7, Issue 2
- 157-193 Within-Bank Spillovers of Real Estate Shocks
by Vicente Cuñat & Dragana Cvijanović & Kathy Yuan - 194-244 Investment-Banking Relationships: 1933–2007
by Alan D Morrison & Carola Schenone & Aaron Thegeya & William J WilhelmJr. - 245-275 Does Contract Enforcement Mitigate Holdup?
by J Anthony Cookson - 276-318 Shareholder Bargaining Power, Debt Overhang, and Investment
by Emmanuel Alanis & Sudheer Chava & Praveen Kumar
2018, Volume 7, Issue 1
- 1-21 Identification Is Not Causality, and Vice Versa
by R Kahn & Toni M Whited - 22-69 Multifaceted Transactions and Organizational Ownership
by Michel A Habib - 70-100 Robust Models of CEO Turnover: New Evidence on Relative Performance Evaluation
by C Edward Fee & Charles J Hadlock & Jing Huang & Joshua R Pierce - 101-156 An Unexpected Test of the Bonding Hypothesis
by Louis Gagnon & G Andrew Karolyi
2017, Volume 6, Issue 2
- 127-140 Have Instrumental Variables Brought Us Closer to the Truth
by Wei Jiang - 141-173 Why Do Firms Sit on Cash? An Asymmetric Information Approach
by Milton Harris & Artur Raviv - 174-233 Information Revelation in Merger Waves
by Pablo Moran - 234-289 Lending to Innovative Firms
by Sudheer Chava & Vikram Nanda & Steven Chong Xiao
2017, Volume 6, Issue 1
- 1-38 Macroeconomic Risk and Debt Overhang
by Hui Chen & Gustavo Manso - 39-67 Subsidiary Legal Entities and Innovation
by Kenneth Ayotte - 68-101 An Experimental Analysis of Risk-Shifting Behavior
by Pablo Hernández-Lagos & Paul Povel & Giorgo Sertsios - 102-126 Do Acceptance and Publication Times Differ Across Finance Journals?
by Craig W. Holden
2016, Volume 5, Issue 2
- 139-165 Spillovers in Local Banking Markets
by Mark J. Garmaise & Gabriel Natividad - 166-199 Innovation, Competition, and Investment Timing
by Yrjö Koskinen & Joril Maeland - 200-238 Skewness Preference and Seasoned Equity Offers
by Don M. Autore & Jared R. DeLisle - 239-270 Smart Buyers
by Mike Burkart & Samuel Lee
2016, Volume 5, Issue 1
- 1-35 How Does Corporate Investment Respond to Increased Entry Threat?
by Laurent Frésard & Philip Valta - 36-75 Caught between Scylla and Charybdis? Regulating Bank Leverage When There Is Rent Seeking and Risk Shifting
by Viral V. Acharya & Hamid Mehran & Anjan V. Thakor - 76-101 Asset Fire Sales by Banks: Evidence from Commercial REO Sales
by Yongqiang Chu - 102-138 Public Corruption in the United States: Implications for Local Firms
by Nishant Dass & Vikram Nanda & Steven Chong Xiao
2015, Volume 4, Issue 2
- 155-205 The Financial Crisis of 2007–2009: Why Did It Happen and What Did We Learn?
by Anjan V. Thakor - 206-238 Securitization and Banks’ Capital Structure
by Andres Almazan & Alfredo Martín-Oliver & Jesús Saurina - 239-257 Do Consumers Choose the Right Credit Contracts?
by Sumit Agarwal & Souphala Chomsisengphet & Chunlin Liu & Nicholas S. Souleles - 258-320 A Theory of Capital Structure, Price Impact, and Long-Run Stock Returns under Heterogeneous Beliefs
by Onur Bayar & Thomas J. Chemmanur & Mark H. Liu
2015, Volume 4, Issue 1
- 1-42 Dynamic Investment, Capital Structure, and Debt Overhang
by Suresh Sundaresan & Neng Wang & Jinqiang Yang - 43-68 Competition, Managerial Slack, and Corporate Governance
by Limor Golan & Christine A. Parlour & Uday Rajan - 69-107 Economic Development and Relationship-Based Financing
by Mariassunta Giannetti & Xiaoyun Yu - 108-154 The Costs and Benefits of Clawback Provisions in CEO Compensation
by Mark A. Chen & Daniel T. Greene & James E. Owers
2014, Volume 3, Issue 1-2
- 1-38 Is the Stock Market Just a Side Show? Evidence from a Structural Reform
by Murillo Campello & Rafael P. Ribas & Albert Y. Wang - 39-86 Venture Capitalists Versus Angels: The Dynamics of Private Firm Financing Contracts
by Thomas J. Chemmanur & Zhaohui Chen - 87-122 Long-Term Debt and Hidden Borrowing
by Heski Bar-Isaac & Vicente Cuñat - 123-161 Optimal Incentive Contracts and Information Cascades
by Praveen Kumar & Nisan Langberg
2014, Volume 2, Issue 2
- 129-153 Investment Bank Reputation and “Star” Cultures
by Zhaohui Chen & Alan D. Morrison & William J. Wilhelm Jr. - 154-187 Complexity and Loan Performance: Evidence from the Securitization of Commercial Mortgages
by Craig H. Furfine - 188-234 The Pricing of IPO Services and Issues: Theory and Estimation
by Ari Kang & Richard Lowery
2013, Volume 2, Issue 1
- 1-28 Financial Development, Fixed Costs, and International Trade
by Bo Becker & Jinzhu Chen & David Greenberg - 29-61 Bank Bailout Menus
by Sudipto Bhattacharya & Kjell G. Nyborg - 62-97 A Theory of Arbitrage Capital
by Viral V. Acharya & Hyun Song Shin & Tanju Yorulmazer - 98-128 Bridging the Gap? Government Subsidized Lending and Access to Capital
by Kristle Romero Cortés & Josh Lerner
2012, Volume 1, Issue 1
- 1-27 Takeover Bidding and Shareholder Information
by Robert Marquez & Bilge Yılmaz - 28-67 Negotiating with Labor under Financial Distress
by Efraim Benmelech & Nittai K. Bergman & Ricardo J. Enriquez - 68-108 Legal Protection in Retail Financial Markets
by Bruce Ian Carlin & Simon Gervais - 109-133 Corporate Fraud, Governance, and Auditing
by Marco Pagano & Giovanni Immordino