Viral V. Acharya : Citation Profile


Are you Viral V. Acharya?

New York University (NYU)
London Business School (LBS)

45

H index

83

i10 index

8605

Citations

RESEARCH PRODUCTION:

90

Articles

172

Papers

2

Books

8

Chapters

EDITOR:

1

Books edited

RESEARCH ACTIVITY:

   22 years (1998 - 2020). See details.
   Cites by year: 391
   Journals where Viral V. Acharya has often published
   Relations with other researchers
   Recent citing documents: 896.    Total self citations: 121 (1.39 %)

MORE DETAILS IN:
ABOUT THIS REPORT:

   Permalink: http://citec.repec.org/pac33
   Updated: 2021-03-07    RAS profile: 2020-09-09    
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Relations with other researchers


Works with:

plantin, guillaume (6)

Steffen, Sascha (6)

Pagano, Marco (3)

Imbierowicz, Bjorn (3)

Hirsch, Christian (3)

Fleming, Michael (2)

Crosignani, Matteo (2)

Rajan, Raghuram (2)

Shin, Hyun Song (2)

Volpin, Paolo (2)

Sarkar, Asani (2)

Authors registered in RePEc who have co-authored more than one work in the last five years with Viral V. Acharya.

Is cited by:

Peydro, Jose-Luis (124)

Pagano, Marco (93)

Brunnermeier, Markus (57)

Asongu, Simplice (50)

Vayanos, Dimitri (47)

Koetter, Michael (45)

Hoerova, Marie (45)

Altavilla, Carlo (42)

Garcia-de-Andoain, Carlos (42)

Heider, Florian (42)

HASAN, IFTEKHAR (42)

Cites to:

Rajan, Raghuram (75)

Shleifer, Andrei (70)

Shin, Hyun Song (52)

Tirole, Jean (49)

Diamond, Douglas (49)

Yorulmazer, Tanju (48)

Vishny, Robert (35)

Pedersen, Lasse (34)

Zingales, Luigi (29)

Scharfstein, David (29)

Thakor, Anjan (28)

Main data


Where Viral V. Acharya has published?


Journals with more than one article published# docs
Review of Financial Studies14
Journal of Financial Economics14
Journal of Financial Intermediation8
Journal of Finance7
Review of Finance3
Journal of Monetary Economics3
Journal of Applied Corporate Finance3
Financial Stability Review2
American Economic Review2
The Journal of Business2
Economic Policy Review2
Review of Corporate Finance Studies2
IMF Economic Review2

Working Papers Series with more than one paper published# docs
Staff Reports / Federal Reserve Bank of New York5
Report of the Advisory Scientific Committee / European Systemic Risk Board3
Proceedings / Federal Reserve Bank of Chicago3
Post-Print / HAL3
Discussion Papers / Deutsche Bundesbank2
Finance Working Papers / East Asian Bureau of Economic Research2
Sciences Po publications / Sciences Po2
Working Papers / University of Pennsylvania, Wharton School, Weiss Center2
Working Papers (Old Series) / Federal Reserve Bank of Cleveland2
BIS Working Papers / Bank for International Settlements2
Swiss Finance Institute Research Paper Series / Swiss Finance Institute2
Governance Working Papers / East Asian Bureau of Economic Research2
Macroeconomics Working Papers / East Asian Bureau of Economic Research2

Recent works citing Viral V. Acharya (2021 and 2020)


YearTitle of citing document
2020Origins of Mutual Fund Skill: Market versus Accounting Based Asset Pricing Anomalies. (2020). Christiansen, Charlotte ; Xu, Yue ; Xing, Ran. In: CREATES Research Papers. RePEc:aah:create:2020-14.

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2021A Tutorial on the Use of Differences-in-Differences in Management, Finance, and Accounting. (2021). Martins, Theo Cotrim ; Mourad, Frederico Abou ; Schiozer, Rafael Felipe. In: RAC - Revista de Administração Contemporânea (Journal of Contemporary Administration). RePEc:abg:anprac:v:25:y:2021:i:1:1418.

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2020An approach to measuring credit risk in a banking institution from Romania. (2020). Nica, Ionu ; Chiri, Nora. In: Theoretical and Applied Economics. RePEc:agr:journl:v:2(623):y:2020:i:2(623):p:65-78.

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2020Systemic Risk: a Network Approach. (2020). Hasse, Jean-Baptiste. In: AMSE Working Papers. RePEc:aim:wpaimx:2025.

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2020Meta-learning approaches for recovery rate prediction. (2020). Vrins, Frédéric ; Roccazzella, Francesco ; Gambetti, Paolo. In: LIDAM Discussion Papers LFIN. RePEc:ajf:louvlf:2020007.

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2020Bank capital and the European recovery from the COVID-19 crisis. (2020). Tröger, Tobias ; Schularick, Moritz ; Troger, Tobias H ; Steffen, Sascha. In: ECONtribute Discussion Papers Series. RePEc:ajk:ajkdps:017.

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2020A Theory of Debt Maturity and Innovation. (2020). Mitkov, Yuliyan. In: ECONtribute Discussion Papers Series. RePEc:ajk:ajkdps:050.

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2020.

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2021Robustness in the Optimization of Risk Measures. (2019). Wang, Ruodu ; Schied, Alexander ; Embrechts, Paul. In: Papers. RePEc:arx:papers:1809.09268.

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2020Asymmetric Connectedness of Fears in the U.S. Financial Sector. (2018). Baruník, Jozef ; Tunaru, Radu ; Bevilacqua, Mattia. In: Papers. RePEc:arx:papers:1810.12022.

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2020Markov Chain Monte Carlo Methods for Estimating Systemic Risk Allocations. (2019). Hofert, Marius ; Koike, Takaaki. In: Papers. RePEc:arx:papers:1909.11794.

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2020Valuing Tradeability in Exponential L\evy Models. (2019). Mathys, Ludovic. In: Papers. RePEc:arx:papers:1912.00469.

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2020Corporate Governance, Noise Trading and Liquidity of Stocks. (2020). Su, Jianhao. In: Papers. RePEc:arx:papers:2001.06275.

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2020Investment behavior and firms financial performance: A comparative analysis using firm-level data from the wine industry. (2020). Albulescu, Claudiu. In: Papers. RePEc:arx:papers:2001.10432.

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2020A wavelet analysis of inter-dependence, contagion and long memory among global equity markets. (2020). Bhandari, Avishek. In: Papers. RePEc:arx:papers:2003.14110.

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2020The illiquidity network of stocks in Chinas market crash. (2020). Zhao, Jichang ; Tan, Xiaoling. In: Papers. RePEc:arx:papers:2004.01917.

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2020Predicting tail events in a RIA-EVT-Copula framework. (2020). Zhou, Wei-Xing ; Wang, Gang-Jin ; Jiang, Zhi-Qiang ; Zhai, Jin-Rui ; Li, Wei-Zhen. In: Papers. RePEc:arx:papers:2004.03190.

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2020Stress testing and systemic risk measures using multivariate conditional probability. (2020). Aste, Tomaso. In: Papers. RePEc:arx:papers:2004.06420.

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2020Consistent Calibration of Economic Scenario Generators: The Case for Conditional Simulation. (2020). van Beek, Misha. In: Papers. RePEc:arx:papers:2004.09042.

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2020Sovereign Default Risk and Credit Supply: Evidence from the Euro Area. (2020). Palmén, Olli. In: Papers. RePEc:arx:papers:2006.03592.

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2020Suffocating Fire Sales. (2020). Ritter, Daniel ; Panagiotou, Konstantinos ; Meyer-Brandis, Thilo ; Detering, Nils. In: Papers. RePEc:arx:papers:2006.08110.

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2020Manifold Feature Index: A novel index based on high-dimensional data simplification. (2020). Lin, Hongwei ; Xu, Chenkai ; Fang, Xuansu. In: Papers. RePEc:arx:papers:2006.11119.

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2020Dynamic Networks in Large Financial and Economic Systems. (2020). Baruník, Jozef ; Ellington, Michael. In: Papers. RePEc:arx:papers:2007.07842.

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2020A New Approach to Estimating Loss-Given-Default Distribution. (2020). Kevkhishvili, Rusudan ; Egami, Masahiko. In: Papers. RePEc:arx:papers:2009.00868.

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2020Regularization Approach for Network Modeling of German Power Derivative Market. (2020). L'Opez, Brenda ; Hardle, Wolfgang Karl ; Chen, Shi. In: Papers. RePEc:arx:papers:2009.09739.

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2020Copula-Based Factor Model for Credit Risk Analysis. (2020). Hardle, Wolfgang Karl ; Chen, Cathy Yi-Hsuan ; Lu, Meng-Jou. In: Papers. RePEc:arx:papers:2009.12092.

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2020Fire Sales, the LOLR and Bank Runs with Continuous Asset Liquidity. (2020). Bindseil, Ulrich ; Lanari, Edoardo. In: Papers. RePEc:arx:papers:2010.11030.

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2020XVA Valuation under Market Illiquidity. (2020). Sturm, Stephan ; Pang, Weijie . In: Papers. RePEc:arx:papers:2011.03543.

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2021Screening for breakthroughs. (2020). Sinander, Ludvig ; Curello, Gregorio. In: Papers. RePEc:arx:papers:2011.10090.

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2020An Equilibrium Model for the Cross-Section of Liquidity Premia. (2020). Shi, Xiaofei ; Muhle-Karbe, Johannes ; Yang, Chen. In: Papers. RePEc:arx:papers:2011.13625.

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2020Labor Reforms in Rajasthan: A boon or a bane?. (2020). Paul, Sourabh Bikas ; Goswami, Diti. In: Papers. RePEc:arx:papers:2012.01016.

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2020Systemic Risk in Market Microstructure of Crude Oil and Gasoline Futures Prices: A Hawkes Flocking Model Approach. (2020). Lee, Kyungsub ; Jang, Hyun Jin. In: Papers. RePEc:arx:papers:2012.04181.

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2020Credit Freezes, Equilibrium Multiplicity, and Optimal Bailouts in Financial Networks. (2020). Jackson, Matthew ; Pernoud, Agathe. In: Papers. RePEc:arx:papers:2012.12861.

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2021Optimal Hedging with Margin Constraints and Default Aversion and its Application to Bitcoin Perpetual Futures. (2021). Zou, Bin ; Deng, Jun ; Alexander, Carol. In: Papers. RePEc:arx:papers:2101.01261.

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2021Uncertainty spill-overs: when policy and financial realms overlap. (2021). Bacchiocchi, Emanuele ; Dragomirescu-Gaina, Catalin. In: Papers. RePEc:arx:papers:2102.06404.

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2020Modelling Small Open Developing Economies in a Financialized World: A Stock-Flow Consistent Prototype Growth Model. (2020). Yilmaz, Sakir ; Godin, Antoine. In: Working Paper. RePEc:avg:wpaper:en10824.

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2020Exchange rate and balance of payment risks in the global development finance architecture. (2020). Xu, Jiajun ; Schclarek, Alfredo. In: Working Paper. RePEc:avg:wpaper:en11707.

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2020Distilling Large Information Sets to Forecast Commodity Returns: Automatic Variable Selection or HiddenMarkov Models?. (2020). Pedio, Manuela ; Guidolin, Massimo. In: BAFFI CAREFIN Working Papers. RePEc:baf:cbafwp:cbafwp20140.

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2020Monetary Policy Surprises and Employment: evidence from matched bank-firm loan data on the bank lending-channel. (). Gonzalez, Rodrigo Barbone. In: Working Papers Series. RePEc:bcb:wpaper:518.

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2020Regulatory Banking Leverage: what do you know?. (2020). Kimura, Herbert ; da Rosa, Douglas. In: Working Papers Series. RePEc:bcb:wpaper:540.

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2020Macroprudential stress testing: A proposal for the Luxembourg investment fund sector. (2020). Lee, Kang-Soek. In: BCL working papers. RePEc:bcl:bclwop:bclwp141.

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2020The regulatory cycle in banking: what lessons from the U.S. experience? (from the Dodd-Frank Act to Covid-19). (2020). Trapanese, Maurizio. In: Questioni di Economia e Finanza (Occasional Papers). RePEc:bdi:opques:qef_585_20.

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2021Return of the NPLs to the bright side: which Unlikely to Pay firms are more likely to pay?. (2021). Meucci, Giorgio ; Affinito, Massimiliano. In: Questioni di Economia e Finanza (Occasional Papers). RePEc:bdi:opques:qef_601_21.

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2020Demand for safety, risky loans: A model of securitization. (2020). Villacorta, Alonso ; Segura, Anatoli. In: Temi di discussione (Economic working papers). RePEc:bdi:wptemi:td_1260_20.

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2020Expansionary yet different: credit supply and real effects of negative interest rate policy. (2020). Sette, Enrico ; Bottero, Margherita. In: Temi di discussione (Economic working papers). RePEc:bdi:wptemi:td_1269_20.

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2020The impact of the IRB approach on the relationship between the cost of credit for public companies and financial market conditions. (2020). Gallo, Raffaele. In: Temi di discussione (Economic working papers). RePEc:bdi:wptemi:td_1290_20.

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2020Prudential policies, credit supply and house prices: evidence from Italy. (2020). Galardo, Maddalena ; Cornacchia, Wanda ; Bologna, Pierluigi. In: Temi di discussione (Economic working papers). RePEc:bdi:wptemi:td_1294_20.

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2020Does Geographical Complexity of Colombian Financial Conglomerates Increase Banks Risk? The Role of Diversification, Regulatory Arbitrage and Funding Costs. (2020). Murcia, Andrés ; Pacheco, Beatriz ; Morales-Acevedo, Paola ; Cardozo, Pamela. In: Borradores de Economia. RePEc:bdr:borrec:1110.

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2020Secured Credit Spreads. (2020). Rajan, Raghuram ; Kumar, Nitish ; Benmelech, Efraim. In: Working Papers. RePEc:bfi:wpaper:2020-14.

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2020Private Equity and COVID-19. (2020). Mukharlyamov, Vladimir ; Kaplan, Steven N ; Gompers, Paul A. In: Working Papers. RePEc:bfi:wpaper:2020-140.

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2020Unconventional Monetary Policies: A Stock-Taking Exercise. (2020). Sahuc, Jean-Guillaume ; Pfister, Christian. In: Working papers. RePEc:bfr:banfra:761.

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2020Heterogeneity in Bank Leverage: the Funding Channels of Complexity. (2020). Meunier, Baptiste ; Bussiere, Matthieu ; Pedrono, Justine. In: Working papers. RePEc:bfr:banfra:771.

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2020Sticky Deposit Rates and Allocative Effects of Monetary Policy. (2020). Duquerroy, Anne ; Farzad, Saidi ; Matray, Adrien. In: Working papers. RePEc:bfr:banfra:794.

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2020The international dimension of a fragile EMU. (2020). Stracca, Livio ; Pagliari, Maria Sole ; Livio, Stracca ; Sole, Pagliari Maria ; Demosthenes, Ioannou. In: Working papers. RePEc:bfr:banfra:795.

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2021The Impact of Regulation on Innovation. (2021). van Reenen, John ; VanReenen, John ; Bergeaud, Antonin ; Aghion, Philippe. In: Working papers. RePEc:bfr:banfra:804.

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2020The Bright Side of the Doom Loop: Banks Exposure and Default Incentives. (2020). Thaler, Dominik ; Rojas, Luis. In: Working Papers. RePEc:bge:wpaper:1143.

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2020Financial Disclosure Environment and the Cash Policy of Private Firms. (2020). Ortiz, Marcelo. In: Working Papers. RePEc:bge:wpaper:1148.

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2020Risk Mitigating versus Risk Shifting: Evidence from Banks Security Trading in Crises. (2020). Sette, Enrico ; Peydro, Jose-Luis ; Polo, Andrea. In: Working Papers. RePEc:bge:wpaper:1219.

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2020Bank Liquidity and Exposure to Industry Shocks. (2020). Talavera, Oleksandr ; Arias, Jose ; Tsapin, Andriy. In: Discussion Papers. RePEc:bir:birmec:20-16.

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2020Cross-border commercial real estate investment in Asia-Pacific. (2020). SHIM, ILHYOCK ; Sushko, Vladyslav ; Liu, Amanda. In: BIS Quarterly Review. RePEc:bis:bisqtr:2009b.

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2020Financial Crises and Innovation. (2020). Sever, Can ; Harcy, Bryan. In: BIS Working Papers. RePEc:bis:biswps:846.

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2020The impact of unconventional monetary policies on retail lending and deposit rates in the euro area. (2020). Lombardi, Marco ; Hofmann, Boris ; Mizen, Paul ; Illes, Anamaria. In: BIS Working Papers. RePEc:bis:biswps:850.

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2020Corporate zombies: Anatomy and life cycle. (2020). Hofmann, Boris ; Banerjee, Ryan Niladri. In: BIS Working Papers. RePEc:bis:biswps:882.

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2020Assessing the fiscal implications of banking crises. (2020). Zampolli, Fabrizio ; Contreras, Juan ; Borio, Claudio. In: BIS Working Papers. RePEc:bis:biswps:893.

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2020Forecasting expected and unexpected losses. (2020). Juselius, John ; Tarashev, Nikola. In: BIS Working Papers. RePEc:bis:biswps:913.

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2021Optimal bank leverage and recapitalization in crowded markets. (2021). Bertsch, Christoph ; Mariathasan, Mike. In: BIS Working Papers. RePEc:bis:biswps:923.

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2020Modelling the Risk-taking Channel of Monetary Policy in the Russian Economy. (2020). Semina, Irina. In: Russian Journal of Money and Finance. RePEc:bkr:journl:v:79:y:2020:i:3:p:30-57.

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2020Bank Complexity and Risk. (2020). Kamaraeva, Elizaveta. In: Russian Journal of Money and Finance. RePEc:bkr:journl:v:79:y:2020:i:3:p:75-104.

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2020Zombie lending: how many wondering souls are there?. (2020). Lluberas, Rodrigo ; Dassatti, Cecilia ; Rodriguez-Tous, Francesc. In: Documentos de trabajo. RePEc:bku:doctra:2020003.

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2020The pricing of accruals quality in credit default swap spreads. (2020). Lin, Hai ; Alam, Pervaiz ; Pu, Xiaoling ; Hettler, Barry. In: Accounting and Finance. RePEc:bla:acctfi:v:60:y:2020:i:3:p:1943-1977.

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2020Size?conditioned mandatory capital adequacy disclosure and bank intermediation. (2020). faff, robert ; Zelenyuk, Natalya ; Pathan, Shams. In: Accounting and Finance. RePEc:bla:acctfi:v:60:y:2020:i:4:p:4387-4417.

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2020Institutional ownership, cross‐shareholdings and corporate cash reserves in Japan. (2020). Rahman, Nahid ; Nguyen, Pascal. In: Accounting and Finance. RePEc:bla:acctfi:v:60:y:2020:i:s1:p:1175-1207.

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2020Evidence of governance arbitrage by private equity sponsors. (2020). Schofield, Guy. In: Accounting and Finance. RePEc:bla:acctfi:v:60:y:2020:i:s1:p:971-1005.

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2020Bank ownership type and temporal evolution of long‐term bank funding in the period 2005–2017. (2020). Merilainen, Jarimikko. In: Annals of Public and Cooperative Economics. RePEc:bla:annpce:v:91:y:2020:i:2:p:237-268.

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2020Does Chinas carbon emissions trading policy improve the technology innovation of relevant enterprises?. (2020). Zhang, Yue-Jun ; Shi, Wei ; Jiang, Lin. In: Business Strategy and the Environment. RePEc:bla:bstrat:v:29:y:2020:i:3:p:872-885.

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2020Too Connected to Fail? Evidence from a Chinese Financial Risk Spillover Network. (2020). Hu, Jie ; Chen, YU ; Zhang, Weiping. In: China & World Economy. RePEc:bla:chinae:v:28:y:2020:i:6:p:78-100.

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2020Banking business models and risk: Findings from the ECBs comprehensive assessment. (2020). Rotondi, Zeno ; Paladino, Giovanna. In: Economic Notes. RePEc:bla:ecnote:v:49:y:2020:i:2:n:e12158.

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2020Jump Risk in the US Financial Sector. (2020). Yao, Wenying ; Gajurel, Dinesh ; Jeyasreedharan, Nagaratnam ; Dungey, Mardi. In: The Economic Record. RePEc:bla:ecorec:v:96:y:2020:i:314:p:331-349.

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2020Bank liquidity, macroeconomic risk, and bank risk: Evidence from the Financial Services Modernization Act. (2020). Liu, Yongchin ; Lee, Yuyi ; Chen, Iju. In: European Financial Management. RePEc:bla:eufman:v:26:y:2020:i:1:p:143-175.

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2020Banks home bias in government bond holdings: Will banks in low‐rated countries invest in European safe bonds (ESBies)?. (2020). Dermine, Jean. In: European Financial Management. RePEc:bla:eufman:v:26:y:2020:i:4:p:841-858.

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2020Bank capital buffers in a dynamic model. (2020). Pagratis, Spyros ; Michaelides, Alexander ; Mankart, Jochen. In: Financial Management. RePEc:bla:finmgt:v:49:y:2020:i:2:p:473-502.

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2020Cybersecurity breaches and cash holdings: Spillover effect. (2020). Garg, Priya. In: Financial Management. RePEc:bla:finmgt:v:49:y:2020:i:2:p:503-519.

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2020Cash cycle: A cross‐country analysis. (2020). Khaksari, Shahriar ; Jalal, Abu. In: Financial Management. RePEc:bla:finmgt:v:49:y:2020:i:3:p:635-671.

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2020Corporate decision making in the presence of political uncertainty: The case of corporate cash holdings. (2020). Hankins, William ; Chiu, Chingwai ; Jack, Chak Hung ; Stone, Annaleigh. In: The Financial Review. RePEc:bla:finrev:v:55:y:2020:i:2:p:307-337.

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2020Commonality in liquidity and multilateral trading facilities. (2020). Mekhaimer, Mohamed ; Jain, Pankaj K ; Mortal, Sandra. In: The Financial Review. RePEc:bla:finrev:v:55:y:2020:i:3:p:481-502.

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2020Regulation and the future of work: The employment relationship as an innovation facilitator. (2020). de Stefano, Valerio ; Aloisi, Antonio. In: International Labour Review. RePEc:bla:intlab:v:159:y:2020:i:1:p:47-69.

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2020The Role of Bank Funding Diversity: Evidence from Vietnam. (2020). Vo, Xuan Vinh. In: International Review of Finance. RePEc:bla:irvfin:v:20:y:2020:i:2:p:529-536.

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2020CORPORATE TAX AVOIDANCE: A LITERATURE REVIEW AND RESEARCH AGENDA. (2020). Xu, Shuolei ; Wang, Fangjun ; Cullinan, Charles P ; Sun, Junqin. In: Journal of Economic Surveys. RePEc:bla:jecsur:v:34:y:2020:i:4:p:793-811.

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2020Market Structure and Transaction Costs of Index CDSs. (2020). Collindufresne, Pierre ; Trolle, Anders B ; Junge, Benjamin. In: Journal of Finance. RePEc:bla:jfinan:v:75:y:2020:i:5:p:2719-2763.

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2020Local Crowding?Out in China. (2020). Panizza, Ugo ; Pagano, Marco ; Huang, YI. In: Journal of Finance. RePEc:bla:jfinan:v:75:y:2020:i:6:p:2855-2898.

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2020Every Cloud Has a Silver Lining: Fast Trading, Microwave Connectivity, and Trading Costs. (2020). Shkilko, Andriy ; Sokolov, Konstantin. In: Journal of Finance. RePEc:bla:jfinan:v:75:y:2020:i:6:p:2899-2927.

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2020Monetary Policy and Global Banking. (2020). Bräuning, Falk ; Brauning, Falk ; Ivashina, Victoria. In: Journal of Finance. RePEc:bla:jfinan:v:75:y:2020:i:6:p:3055-3095.

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2020Measuring Mutual Fund Flow Pressure as Shock to Stock Returns. (2020). Wardlaw, Malcolm. In: Journal of Finance. RePEc:bla:jfinan:v:75:y:2020:i:6:p:3221-3243.

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2020ACTIVITY STRATEGIES, AGENCY PROBLEMS, AND BANK RISK. (2020). Louvet, Pascal ; Girerdpotin, Isabelle ; Hassan, Kabir M ; Tran, Dung V. In: Journal of Financial Research. RePEc:bla:jfnres:v:43:y:2020:i:3:p:575-613.

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2020CORPORATE BONDS AND PRODUCT MARKET COMPETITION. (2020). Platt, Katarzyna. In: Journal of Financial Research. RePEc:bla:jfnres:v:43:y:2020:i:3:p:615-647.

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2020Tick Size and Financial Reporting Quality in Small‐Cap Firms: Evidence from a Natural Experiment. (2020). Xu, Nina ; Li, Yiwen ; Ahmed, Anwer S. In: Journal of Accounting Research. RePEc:bla:joares:v:58:y:2020:i:4:p:869-914.

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2020Longitudinal networks of dyadic relationships using latent trajectories: evidence from the European interbank market. (2020). Bartolucci, Francesco ; Bianchi, Federica ; Mira, Antonietta ; Peluso, Stefano. In: Journal of the Royal Statistical Society Series C. RePEc:bla:jorssc:v:69:y:2020:i:4:p:711-739.

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2020Robust XVA. (2020). Sturm, Stephan ; Capponi, Agostino ; Bichuch, Maxim. In: Mathematical Finance. RePEc:bla:mathfi:v:30:y:2020:i:3:p:738-781.

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2020How firms finance innovation. Further empirics from European SMEs. (2020). Bonanno, Graziella ; Aiello, Francesco. In: Metroeconomica. RePEc:bla:metroe:v:71:y:2020:i:4:p:689-714.

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2020Cog in the wheel: Resource release and the scope of interdependencies in corporate adjustment activities. (2020). Keum, Dongil D. In: Strategic Management Journal. RePEc:bla:stratm:v:41:y:2020:i:2:p:175-197.

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2020Institutional diversity in domestic banking sectors and bank stability: A cross-country study. (2020). Schäfer, Dorothea ; Baum, Christopher ; Schafer, Dorothea ; Grazzini, Caterina Forti. In: Boston College Working Papers in Economics. RePEc:boc:bocoec:1008.

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More than 100 citations found, this list is not complete...

Viral V. Acharya has edited the books:


YearTitleTypeCited

Works by Viral V. Acharya:


YearTitleTypeCited
2011Endogenous Information Flows and the Clustering of Announcements In: American Economic Review.
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article29
2008Endogenous Information Flows and the Clustering of Announcements.(2008) In: CEPR Discussion Papers.
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paper
2011Endogenous Information Flows and the Clustering of Announcements.(2011) In: CEPR Discussion Papers.
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paper
2010Endogenous Information Flows and the Clustering of Announcements.(2010) In: NBER Working Papers.
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This paper has another version. Agregated cites: 29
paper
2012Capital Shortfall: A New Approach to Ranking and Regulating Systemic Risks In: American Economic Review.
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article299
2012Imperfect Competition in the Interbank Market for Liquidity as a Rationale for Central Banking In: American Economic Journal: Macroeconomics.
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article135
2008Imperfect Competition in the Inter-Bank Market for Liquidity as a Rationale for Central Banking.(2008) In: CEPR Discussion Papers.
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This paper has another version. Agregated cites: 135
paper
2014Testing macroprudential stress tests: The risk of regulatory risk weights In: LIDAM Reprints ISBA.
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paper115
2013Testing Macroprudential Stress Tests: The Risk of Regulatory Risk Weights.(2013) In: CEPR Discussion Papers.
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paper
2014Testing Macroprudential Stress Tests: The Risk of Regulatory Risk Weights.(2014) In: CEPR Discussion Papers.
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paper
2014Testing macroprudential stress tests: The risk of regulatory risk weights.(2014) In: Journal of Monetary Economics.
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article
2013Testing Macroprudential Stress Tests: The Risk of Regulatory Risk Weights.(2013) In: NBER Working Papers.
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This paper has another version. Agregated cites: 115
paper
2012Implications of the Dodd-Frank Act In: Annual Review of Financial Economics.
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article5
2020When is Debt Odious? A Theory of Repression and Growth Traps In: Working Papers.
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paper1
2020When is Debt Odious? A Theory of Repression and Growth Traps.(2020) In: NBER Working Papers.
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paper
2012A tale of two overhangs:the nexus of fi nancial sector and sovereign credit risks. In: Financial Stability Review.
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article3
2013A transparency standard for derivatives. In: Financial Stability Review.
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article5
2012A Transparency Standard for Derivatives.(2012) In: NBER Chapters.
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chapter
2011A Transparency Standard for Derivatives.(2011) In: NBER Working Papers.
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paper
2002Should banks be diversified? Evidence from individual bank loan portfolios In: BIS Working Papers.
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paper220
2006Should Banks Be Diversified? Evidence from Individual Bank Loan Portfolios.(2006) In: The Journal of Business.
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article
2016Bank capital and dividend externalities In: BIS Working Papers.
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paper18
2013Bank Capital and Dividend Externalities.(2013) In: CEPR Discussion Papers.
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paper
2014Bank Capital and Dividend Externalities.(2014) In: CEPR Discussion Papers.
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paper
2013Bank Capital and Dividend Externalities.(2013) In: NBER Working Papers.
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paper
2017Bank Capital and Dividend Externalities.(2017) In: Review of Financial Studies.
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article
2001Competition Among Banks, Capital Requirements and International Spillovers In: Economic Notes.
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article2
2007Private Equity: Boom and Bust? In: Journal of Applied Corporate Finance.
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article8
2009Private Equity vs. PLC Boards in the U.K.: A Comparison of Practices and Effectiveness In: Journal of Applied Corporate Finance.
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article12
2011The Dodd‐Frank Wall Street Reform and Consumer Protection Act: Accomplishments and Limitations In: Journal of Applied Corporate Finance.
[Citation analysis]
article2
2003Is the International Convergence of Capital Adequacy Regulation Desirable? In: Journal of Finance.
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article103
2002Is the International Convergence of Capital Adequacy Regulation Desirable?.(2002) In: CEPR Discussion Papers.
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paper
2011Leverage, Moral Hazard, and Liquidity In: Journal of Finance.
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article115
2010Leverage, Moral Hazard and Liquidity.(2010) In: NBER Working Papers.
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paper
2011The Internal Governance of Firms In: Journal of Finance.
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article42
2009The Internal Governance of Firms.(2009) In: CEPR Discussion Papers.
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paper
2009The Internal Governance of Firms.(2009) In: NBER Working Papers.
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paper
2011Rollover Risk and Market Freezes In: Journal of Finance.
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article200
2009Rollover Risk and Market Freezes.(2009) In: CEPR Discussion Papers.
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paper
2010Rollover Risk and Market Freezes.(2010) In: Working Papers.
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paper
2010Rollover Risk and Market Freezes.(2010) In: NBER Working Papers.
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paper
2013Aggregate Risk and the Choice between Cash and Lines of Credit In: Journal of Finance.
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article87
2012Aggregate Risk and the Choice between Cash and Lines of Credit.(2012) In: CEPR Discussion Papers.
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paper
2010Aggregate Risk and the Choice between Cash and Lines of Credit.(2010) In: NBER Working Papers.
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paper
2014A Pyrrhic Victory? Bank Bailouts and Sovereign Credit Risk In: Journal of Finance.
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article498
2011A Pyrrhic Victory? Bank Bailouts and Sovereign Credit Risk.(2011) In: CEPR Discussion Papers.
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paper
2011A Pyrrhic Victory? - Bank Bailouts and Sovereign Credit Risk.(2011) In: NBER Working Papers.
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paper
2015A Crisis of Banks as Liquidity Providers In: Journal of Finance.
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article105
2016Banks’ Financial Reporting and Financial System Stability In: Journal of Accounting Research.
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article29
2009Managerial hedging, equity ownership, and firm value In: RAND Journal of Economics.
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article18
2012What Saved the Indian Banking System: State Ownership or State Guarantees? In: The World Economy.
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article4
2009Endogenous choice of bank liquidity: the role of fire sales In: Bank of England working papers.
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paper13
2007Too many to fail - an analysis of time-inconsistency in bank closure policies In: Bank of England working papers.
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paper256
2004Too Many to Fail - An Analysis of Time Inconsistency in Bank Closure Policies.(2004) In: CEPR Discussion Papers.
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paper
2007Too many to fail--An analysis of time-inconsistency in bank closure policies.(2007) In: Journal of Financial Intermediation.
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article
2007Cash-in-the-market pricing and optimal resolution of bank failures In: Bank of England working papers.
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paper136
2008Cash-in-the-Market Pricing and Optimal Resolution of Bank Failures.(2008) In: Review of Financial Studies.
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article
2009Government Guarantees: Why the Genie Needs to Be Put Back in the Bottle In: The Economists' Voice.
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article0
2006Finance and Efficiency: Do Bank Branching Regulations Matter? In: Swiss Finance Institute Research Paper Series.
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paper46
2007Finance and Efficiency: Do Bank Branching Regulations Matter?.(2007) In: CEPR Discussion Papers.
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paper
2007Finance and Efficiency: Do Bank Branching Regulations Matter?.(2007) In: CEPR Discussion Papers.
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paper
2011Finance and Efficiency: Do Bank Branching Regulations Matter?.(2011) In: Review of Finance.
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article
2018Lender of Last Resort versus Buyer of Last Resort – Evidence from the European Sovereign Debt Crisis In: Swiss Finance Institute Research Paper Series.
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paper2
2014Real Effects of the Sovereign Debt Crisis in Europe: Evidence from Syndicated Loans In: CEPR Discussion Papers.
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paper196
2018Real Effects of the Sovereign Debt Crisis in Europe: Evidence from Syndicated Loans.(2018) In: Review of Financial Studies.
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article
2017Whatever it takes: The Real Effects of Unconventional Monetary Policy In: CEPR Discussion Papers.
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paper87
2019Whatever It Takes: The Real Effects of Unconventional Monetary Policy.(2019) In: Review of Financial Studies.
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article
2017Whatever it takes: The real effects of unconventional monetary policy.(2017) In: SAFE Working Paper Series.
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paper
2018Monetary Easing, Investment and Financial Instability In: CEPR Discussion Papers.
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paper1
2019Monetary Easing, Investment and Financial Instability.(2019) In: Sciences Po Economics Discussion Papers.
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2018Monetary Easing, Investment and Financial Instability.(2018) In: Sciences Po publications.
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paper
2019Monetary Easing, Investment and Financial Instability.(2019) In: Sciences Po publications.
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paper
2002The Effects of Focus and Diversification on Bank Risk and Return: Evidence from Individual Bank Loan Portfolios In: CEPR Discussion Papers.
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paper31
2002The effects of focus and diversification on bank risk and return: evidence from individual bank loan portfolios.(2002) In: Proceedings.
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paper
2002Corporate Bond Valuation and Hedging with Stochastic Interest Rates and Endogenous Bankruptcy In: CEPR Discussion Papers.
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paper60
2002Corporate Bond Valuation and Hedging with Stochastic Interest Rates and Endogenous Bankruptcy.(2002) In: Review of Financial Studies.
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article
2002Pricing Credit Derivatives with Rating Transitions In: CEPR Discussion Papers.
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paper8
2002Entrepreneurial Incentives in Stock Market Economies In: CEPR Discussion Papers.
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paper0
2002When Does Strategic Debt Service Matter? In: CEPR Discussion Papers.
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paper24
2006When does Strategic Debt-service Matter?.(2006) In: Economic Theory.
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article
2003Information Contagion and Inter-Bank Correlation in a Theory of Systemic Risk In: CEPR Discussion Papers.
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paper11
2003Asset Pricing with Liquidity Risk In: CEPR Discussion Papers.
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paper887
2004Asset Pricing with Liquidity Risk.(2004) In: CEPR Discussion Papers.
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paper
2005Asset pricing with liquidity risk.(2005) In: Journal of Financial Economics.
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article
2004Asset Pricing with Liquidity Risk.(2004) In: NBER Working Papers.
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paper
2003Optimal Financial Market Integration and Security Design In: CEPR Discussion Papers.
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paper5
2005Optimal Financial-Market Integration and Security Design.(2005) In: The Journal of Business.
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article
2003Understanding the Recovery Rates on Defaulted Securities In: CEPR Discussion Papers.
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paper19
2005Is Cash Negative Debt? A Hedging Perspective on Corporate Financial Policies In: CEPR Discussion Papers.
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paper280
2007Is cash negative debt? A hedging perspective on corporate financial policies.(2007) In: Journal of Financial Intermediation.
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article
2005Is Cash Negative Debt? A Hedging Perspective on Corporate Financial Policies.(2005) In: NBER Working Papers.
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paper
2005Cross-Country Variations in Capital Structures: The Role of Bankruptcy Codes In: CEPR Discussion Papers.
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paper25
2011Cross-country variations in capital structures: The role of bankruptcy codes.(2011) In: Journal of Financial Intermediation.
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article
2005Cash-in-the-Market Pricing and Optimal Bank Bailout Policy In: CEPR Discussion Papers.
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paper4
2005Insider Trading in Credit Derivatives In: CEPR Discussion Papers.
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paper248
2007Insider trading in credit derivatives.(2007) In: Journal of Financial Economics.
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article
2007Bankruptcy Codes and Innovation In: CEPR Discussion Papers.
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paper113
2009Bankruptcy Codes and Innovation.(2009) In: Review of Financial Studies.
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article
2007Fire Sales, Foreign Entry and Bank Liquidity In: CEPR Discussion Papers.
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paper2
2007Fire-sale FDI In: CEPR Discussion Papers.
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paper14
2011Fire Sale FDI.(2011) In: Korean Economic Review.
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article
2007Liquidity Risk and Correlation Risk: A Clinical Study of the General Motors and Ford Downgrade of May 2005 In: CEPR Discussion Papers.
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paper17
2015Liquidity Risk and Correlation Risk: A Clinical Study of the General Motors and Ford Downgrade of May 2005.(2015) In: Quarterly Journal of Finance (QJF).
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article
2007More Insiders, More Insider Trading: Evidence from Private Equity Buyouts In: CEPR Discussion Papers.
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paper28
2010More insiders, more insider trading: Evidence from private-equity buyouts.(2010) In: Journal of Financial Economics.
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article
2008Corporate Governance Externalities In: CEPR Discussion Papers.
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paper25
2010Corporate Governance Externalities.(2010) In: Review of Finance.
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2008Moral Hazard, Collateral and Liquidity In: CEPR Discussion Papers.
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paper3
2008Creditor Rights and Corporate Risk-taking In: CEPR Discussion Papers.
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paper200
2011Creditor rights and corporate risk-taking.(2011) In: Journal of Financial Economics.
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2009Creditor rights and corporate risk-taking.(2009) In: NBER Working Papers.
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2009Cash Holdings and Credit Risk In: CEPR Discussion Papers.
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paper58
2011Cash Holdings and Credit Risk.(2011) In: NBER Working Papers.
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paper
2012Cash Holdings and Credit Risk.(2012) In: Review of Financial Studies.
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article
2009A Theory of Slow-Moving Capital and Contagion In: CEPR Discussion Papers.
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paper8
2009Private Equity vs. PLC Boards: A Comparison of Practices and Effectiveness - Summary of Research Findings In: CEPR Discussion Papers.
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paper3
2009A Theory of Systemic Risk and Design of Prudential Bank Regulation In: CEPR Discussion Papers.
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paper300
2009A theory of systemic risk and design of prudential bank regulation.(2009) In: Journal of Financial Stability.
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2009Labor Laws and Innovation In: CEPR Discussion Papers.
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paper85
2010Labor Laws and Innovation.(2010) In: NBER Working Papers.
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2013Labor Laws and Innovation.(2013) In: Journal of Law and Economics.
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article
2009Corporate Governance and Value Creation: Evidence from Private Equity In: CEPR Discussion Papers.
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paper56
2013Corporate Governance and Value Creation: Evidence from Private Equity.(2013) In: Post-Print.
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paper
2013Corporate Governance and Value Creation: Evidence from Private Equity.(2013) In: Review of Financial Studies.
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article
2009Limits to Arbitrage and Hedging: Evidence from Commodity Markets In: CEPR Discussion Papers.
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paper143
2013Limits to arbitrage and hedging: Evidence from commodity markets.(2013) In: Journal of Financial Economics.
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article
2011Limits to Arbitrage and Hedging: Evidence from Commodity Markets.(2011) In: NBER Working Papers.
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paper
2011Sovereign debt, government myopia, and the financial sector In: CEPR Discussion Papers.
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paper45
2011Sovereign Debt, Government Myopia, and the Financial Sector.(2011) In: NBER Working Papers.
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2013Sovereign Debt, Government Myopia, and the Financial Sector.(2013) In: Review of Financial Studies.
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2011A Model of Liquidity Hoarding and Term Premia in Inter-Bank Markets In: CEPR Discussion Papers.
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paper138
2011A model of liquidity hoarding and term premia in inter-bank markets.(2011) In: Journal of Monetary Economics.
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article
2011A model of liquidity hoarding and term premia in inter-bank markets.(2011) In: Staff Reports.
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2011Are Banks Passive Liquidity Backstops? Deposit Rates and Flows during the 2007-2009 Crisis In: CEPR Discussion Papers.
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paper15
2011Are banks passive liquidity backstops? deposit rates and flows during the 2007-2009 crisis.(2011) In: Research Working Paper.
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paper
2012Are Banks Passive Liquidity Backstops? Deposit Rates and Flows during the 2007-2009 Crisis.(2012) In: NBER Working Papers.
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paper
2012A Theory of Income Smoothing When Insiders Know More Than Outsiders In: CEPR Discussion Papers.
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paper12
2011A Theory of Income Smoothing When Insiders Know More Than Outsiders.(2011) In: NBER Working Papers.
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2015A Theory of Income Smoothing When Insiders Know More Than Outsiders.(2015) In: Review of Financial Studies.
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article
2012Securitization Without Risk Transfer In: CEPR Discussion Papers.
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paper313
2013Securitization without risk transfer.(2013) In: Journal of Financial Economics.
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2010Securitization without risk transfer.(2010) In: NBER Working Papers.
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paper
2012Robust Capital Regulation In: CEPR Discussion Papers.
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paper13
2012Robust capital regulation.(2012) In: Current Issues in Economics and Finance.
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2011Robust capital regulation.(2011) In: Staff Reports.
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paper
2012Dividends and Bank Capital in the Financial Crisis of 2007-2009 In: CEPR Discussion Papers.
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paper32
2011Dividends and Bank Capital in the Financial Crisis of 2007-2009.(2011) In: NBER Working Papers.
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2012Caught between Scylla and Charybdis? Regulating bank leverage when there is rent-seeking and risk-shifting In: CEPR Discussion Papers.
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paper36
2010Caught between Scylla and Charybdis? Regulating bank leverage when there is rent seeking and risk shifting.(2010) In: Working Papers (Old Series).
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2010Caught between Scylla and Charybdis? Regulating bank leverage when there is rent seeking and risk shifting.(2010) In: Staff Reports.
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2016Caught between Scylla and Charybdis? Regulating Bank Leverage When There Is Rent Seeking and Risk Shifting.(2016) In: Review of Corporate Finance Studies.
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2012Measuring Systemic Risk In: CEPR Discussion Papers.
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paper496
2010Measuring systemic risk.(2010) In: Working Papers (Old Series).
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2010Measuring systemic risk.(2010) In: Proceedings.
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2017Measuring Systemic Risk.(2017) In: Review of Financial Studies.
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2011MEASURING SYSTEMIC RISK.(2011) In: World Scientific Book Chapters.
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chapter
2013MEASURING SYSTEMIC RISK.(2013) In: World Scientific Book Chapters.
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chapter
2012The Seeds of a Crisis: A Theory of Bank Liquidity and Risk-Taking over the Business Cycle In: CEPR Discussion Papers.
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paper158
2012The seeds of a crisis: A theory of bank liquidity and risk taking over the business cycle.(2012) In: Journal of Financial Economics.
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2012Precautionary hoarding of liquidity and inter-bank markets: Evidence from the sub-prime crisis In: CEPR Discussion Papers.
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paper201
2013Precautionary Hoarding of Liquidity and the Interbank Markets: Evidence from the Sub-Prime Crisis.(2013) In: Post-Print.
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2010Precautionary Hoarding of Liquidity and Inter-Bank Markets: Evidence from the Sub-prime Crisis.(2010) In: NBER Working Papers.
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2013Precautionary Hoarding of Liquidity and Interbank Markets: Evidence from the Subprime Crisis.(2013) In: Review of Finance.
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2012Seeking Alpha: Excess Risk Taking and Competition for Managerial Talent In: CEPR Discussion Papers.
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paper46
2016Seeking Alpha - Excess Risk Taking and Competition for Managerial Talent.(2016) In: EIEF Working Papers Series.
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2013Seeking Alpha: Excess Risk Taking and Competition for Managerial Talent.(2013) In: NBER Working Papers.
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2016Seeking Alpha: Excess Risk Taking and Competition for Managerial Talent.(2016) In: Review of Financial Studies.
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2016Seeking Alpha: Excess Risk Taking and Competition for Managerial Talent.(2016) In: CSEF Working Papers.
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2012A proposal for the resolution of systemically important assets and liabilities: The case of the repo market In: CEPR Discussion Papers.
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paper15
2013A Proposal for the Resolution of Systemically Important Assets and Liabilities: The Case of the Repo Market.(2013) In: International Journal of Central Banking.
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2013A Proposal for the Resolution of Systemically Important Assets and Liabilities: The Case of the Repo Market.(2013) In: World Scientific Book Chapters.
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chapter
2012Competition for Managers, Corporate Governance and Incentive Compensation In: CEPR Discussion Papers.
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paper1
2013The Greatest Carry Trade Ever? Understanding Eurozone Bank Risks In: CEPR Discussion Papers.
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paper331
2015The “greatest” carry trade ever? Understanding eurozone bank risks.(2015) In: Journal of Financial Economics.
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This paper has another version. Agregated cites: 331
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2013The Greatest Carry Trade Ever? Understanding Eurozone Bank Risks.(2013) In: NBER Working Papers.
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2017How do global banks scramble for liquidity? Evidence from the asset-backed commercial paper freeze of 2007.(2017) In: Journal of Financial Intermediation.
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2013How do global banks scramble for liquidity? Evidence from the asset-backed commercial paper freeze of 2007.(2013) In: Staff Reports.
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2013Unintended Consequences of LOLR Facilities: The Case of Illiquid Leverage.(2013) In: NBER Working Papers.
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2017Financial dependence and innovation: The case of public versus private firms.(2017) In: Journal of Financial Economics.
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2013Financial Dependence and Innovation: The Case of Public versus Private Firms.(2013) In: NBER Working Papers.
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2011Market Failures and Regulatory Failures : Lessons from Past and Present Financial Crises In: Finance Working Papers.
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2011Market Failures and Regulatory Failures : Lessons from Past and Present Financial Crises.(2011) In: Governance Working Papers.
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2011Market Failures and Regulatory Failures : Lessons from Past and Present Financial Crises.(2011) In: Macroeconomics Working Papers.
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2011Market Failures and Regulatory Failures: Lessons from Past and Present Financial Crises.(2011) In: ADBI Working Papers.
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2012The Dodd-Frank Act and Basel III : Intentions, Unintended Consequences, and Lessons for Emerging Markets.(2012) In: Governance Working Papers.
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2012The Dodd-Frank Act and Basel III : Intentions, Unintended Consequences, and Lessons for Emerging Markets.(2012) In: Macroeconomics Working Papers.
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2012The Dodd-Frank Act and Basel III: Intentions, Unintended Consequences, and Lessons for Emerging Markets.(2012) In: ADBI Working Papers.
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2011Counterparty Risk Externality: Centralized Versus Over-the-counter Markets.(2011) In: NBER Working Papers.
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2011Counterparty risk externality: Centralized versus over-the-counter markets.(2011) In: 2011 Meeting Papers.
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2013Liquidity risk of corporate bond returns: conditional approach In: Journal of Financial Economics.
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2010Liquidity Risk of Corporate Bond Returns: A Conditional Approach.(2010) In: NBER Working Papers.
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2013Credit Lines as Monitored Liquidity Insurance: Theory and Evidence.(2013) In: NBER Working Papers.
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1999On the Optimality of Resetting Executive Stock Options.(1999) In: New York University, Leonard N. Stern School Finance Department Working Paper Seires.
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2007Does industry-wide distress affect defaulted firms? Evidence from creditor recoveries In: Journal of Financial Economics.
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2013Special Issue: Research on the Financial Crisis In: Journal of Financial Intermediation.
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2016The dark side of liquidity creation: Leverage and systemic risk In: Journal of Financial Intermediation.
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2018Lending implications of U.S. bank stress tests: Costs or benefits? In: Journal of Financial Intermediation.
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2019On reaching for yield and the coexistence of bubbles and negative bubbles In: Journal of Financial Intermediation.
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2013The growth of a shadow banking system in emerging markets: Evidence from India In: Journal of International Money and Finance.
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2010Comment on The Macroeconomics of Money Market Freezes by Max Bruche and Javier Suarez In: Journal of Monetary Economics.
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2014Falling short of expectations? Stress-testing the European banking system In: CEPS Papers.
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2017The Importance of a Banking Union and Fiscal Union for a Capital Markets Union In: European Economy - Discussion Papers 2015 -.
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2002Should banks be diversified? evidence from individual bank portfolios In: Proceedings.
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2016Cash holdings and bank compensation In: Economic Policy Review.
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2010Systemic risk and deposit insurance premiums In: Economic Policy Review.
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2017Which Dealers Borrowed from the Fed’s Lender-of-Last-Resort Facilities? In: Liberty Street Economics.
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1998Contract Renegotiation and the Optimality of resetting Executive Stock Options In: New York University, Leonard N. Stern School Finance Department Working Paper Seires.
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2000Costly Financing, Optimal Payout Policies and the Valuation of Corporate Debt In: New York University, Leonard N. Stern School Finance Department Working Paper Seires.
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2020Risk-Sharing and the Creation of Systemic Risk In: Journal of Risk and Financial Management.
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2011The Efficiency of Capital Allocation: Do Bank Regulations Matter? In: Université Paris1 Panthéon-Sorbonne (Post-Print and Working Papers).
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2011The Efficiency of Capital Allocation: Do Bank Regulations Matter?.(2011) In: Post-Print.
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2011The Efficiency of Capital Allocation: Do Bank Regulations Matter?.(2011) In: PSE-Ecole d'économie de Paris (Postprint).
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2015Does Lack of Financial Stability Impair the Transmission of Monetary Policy? In: HIT-REFINED Working Paper Series.
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2019Does the lack of financial stability impair the transmission of monetary policy?.(2019) In: Discussion Papers.
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2008Information Contagion and Bank Herding.(2008) In: Journal of Money, Credit and Banking.
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2015New Perspectives on Corporate Capital Structure In: NBER Books.
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2012How to Calculate Systemic Risk Surcharges In: NBER Chapters.
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2013Introduction, New Perspectives on Corporate Capital Structure In: NBER Chapters.
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2011Crisis Resolution and Bank Liquidity.(2011) In: Review of Financial Studies.
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2010Do Global Banks Spread Global Imbalances? The Case of Asset-Backed Commercial Paper During the Financial Crisis of 2007-09 In: NBER Working Papers.
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2014Wrongful Discharge Laws and Innovation.(2014) In: Review of Financial Studies.
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2018Capital Flow Management with Multiple Instruments In: NBER Working Papers.
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2019Monetary Easing, Leveraged Payouts and Lack of Investment In: NBER Working Papers.
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2020Foreign Currency Borrowing of Corporations as Carry Trades: Evidence from India In: NBER Working Papers.
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2012Is State Ownership in the Indian Banking Sector Desirable? In: India Policy Forum.
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2010Manufacturing Tail Risk: A Perspective on the Financial Crisis of 2007–2009 In: Foundations and Trends(R) in Finance.
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2019Economics with Market Liquidity Risk In: Critical Finance Review.
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2013A Theory of Arbitrage Capital In: Review of Corporate Finance Studies.
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2010Do Global Banks Spread Global Imbalances? Asset-Backed Commercial Paper during the Financial Crisis of 2007–09 In: IMF Economic Review.
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2016The End of Market Discipline? Investor Expectations of Implicit Government Guarantees In: MPRA Paper.
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2011Feeding the Beast In: Introductory Chapters.
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2011Guaranteed to Fail: Fannie Mae, Freddie Mac, and the Debacle of Mortgage Finance In: Economics Books.
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2016Capital Markets Union in Europe: Why other Unions must lead the Way In: Swiss Journal of Economics and Statistics (SJES).
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2016Capital Markets Union in Europe: Why Other Unions Must Lead the Way.(2016) In: Swiss Journal of Economics and Statistics.
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2016Capital markets union in Europe: Why other unions must lead the way.(2016) In: ZEW policy briefs.
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2012Forbearance, resolution and deposit insurance In: Report of the Advisory Scientific Committee.
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2018Understanding and managing interest rate risk at banks In: Macroeconomics and Finance in Emerging Market Economies.
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2013Dark Markets, by Darrell Duffie In: Quantitative Finance.
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2016Lender of last resort versus buyer of last resort: The impact of the European Central Bank actions on the bank-sovereign nexus In: ZEW Discussion Papers.
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