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Browsing "Finance Working Papers" by Issue Date

Showing results 31 to 50 of 839
Issue DateTitleAuthor(s)
9-Jan-2012The Macroeconomic Effects of Housing Wealth, Housing Finance, and Limited Risk-Sharing in General EquilibriumFavilukis, Jack; Ludvigson, Sydney C.; Nieuwerburgh, Stijn Van
9-Jan-2012The Joy of Giving or Assisted Living? Using Strategic Surveys to Separate Bequest and Precautionary MotivesNieuwerburgh, Stijn Van
9-Jan-2012Too-Systemic-To-Fail: What Option Markets Imply About Sector-Wide Government GuaranteesNieuwerburgh, Stijn Van; Lustig, Hanno N.; Kelly, Bryan T.
9-Jan-2012Predictability of Returns and Cash FlowsNieuwerburgh, Stijn Van; Koijen, Ralph S. J.
9-Jan-2012Rational Attention Allocation over the Business CycleNieuwerburgh, Stijn Van; Kacperczyk, Marcin T.; Veldkamp, Laura
9-Jan-2012Mortgage TimingNieuwerburgh, Stijn Van; Hemert, Otto Van; Koijen, Ralph S. J.
9-Jan-2012The Cross-Section and Time-Series of Stock and Bond ReturnsNieuwerburgh, Stijn Van; Lustig, Hanno N.; Koijen, Ralph S. J.
9-Jan-2012Hedge Funds in M&A Deals: Is there Exploitation of Private Information?Dai, Rui; Massoud, Nadia; Nandy, Debarshi; Saunders, Anthony
9-Jan-2012Does the Tail Wag the Dog? The Effect of Credit Default Swaps on Credit RiskSubrahmanyam, Marti G.; Tang, Dragon Yongjun; Wang, Sarah Qian
9-Jan-2012Private Placements to Owner-Managers: Theory and EvidenceSubrahmanyam, Marti G.; Anshuman, V. Ravi; Marisetty, Vijaya B.
9-Jan-2012Background Risk and Trading in a Full-Information Rational Expectations EconomySubrahmanyam, Marti G.; Stapleton, Richard C.; Zeng, Qi
9-Jan-2012Illiquidity or credit deterioration: A study of liquidity in the US corporate bond market duringSubrahmanyam, Marti G.; Jankowitsch, Rainer; Friewald, Nils
9-Jan-2012Covenant Violations, Loan Contracting, and Default Risk of Bank BorrowersSaunders, Anthony; Steffen, Sascha; Freudenberg, Felix; Imbierowicz, Bjorn
14-Dec-2011Capital Market Integration and WagesHenry, Peter Blair; Chari, Anusha; Sasson, Diego
14-Dec-2011Syndication, Interconnectedness, and Systemic RiskSaunders, Anthony; Cai, Jian; Steffen, Sascha
14-Dec-2011Dividends as Reference Points: A Behavioral Signaling ModelWurgler, Jeffrey; Baker, Malcolm
13-Dec-2011Household Leverage and the RecessionPhilippon, Thomas; Midrigan, Virgiliu
13-Dec-2011Has the U.S. Finance Industry Become Less Efficient?Philippon, Thomas
13-Dec-2011Competing on SpeedPhilippon, Thomas; Pagnotta, Emiliano
13-Dec-2011Seeking Alpha: Excess Risk Taking and Competition for Managerial TalentAcharya, Viral V.; Pagano, Marco; Volpin, Paolo
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