René M. Stulz : Citation Profile


Are you René M. Stulz?

Ohio State University

55

H index

107

i10 index

12468

Citations

RESEARCH PRODUCTION:

113

Articles

158

Papers

2

Books

4

Chapters

EDITOR:

3

Books edited

2

Series edited

RESEARCH ACTIVITY:

   35 years (1981 - 2016). See details.
   Cites by year: 356
   Journals where René M. Stulz has often published
   Relations with other researchers
   Recent citing documents: 1231.    Total self citations: 116 (0.92 %)

MORE DETAILS IN:
ABOUT THIS REPORT:

   Permalink: http://citec.repec.org/pst226
   Updated: 2018-10-13    RAS profile: 2018-10-01    
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Relations with other researchers


Works with:

van Dijk, Mathijs (2)

Authors registered in RePEc who have co-authored more than one work in the last five years with René M. Stulz.

Is cited by:

Warnock, Francis (119)

Schmukler, Sergio (67)

Claessens, Stijn (62)

Renneboog, Luc (57)

Karolyi, G. (54)

HASAN, IFTEKHAR (53)

Levine, Ross (52)

Mishra, Anil (50)

Bartram, Söhnke (50)

Demirguc-Kunt, Asli (45)

Henry, Peter (44)

Cites to:

Shleifer, Andrei (111)

Lopez-de-Silanes, Florencio (64)

La Porta, Rafael (62)

Vishny, Robert (56)

French, Kenneth (34)

Karolyi, G. (34)

Fama, Eugene (29)

Weisbach, Michael (28)

Harvey, Campbell (28)

Ritter, Jay (26)

Bekaert, Geert (25)

Main data


Where René M. Stulz has published?


Journals with more than one article published# docs
Journal of Financial Economics33
Journal of Finance20
Journal of Applied Corporate Finance12
Review of Financial Studies10
Journal of Financial and Quantitative Analysis5
Journal of Economic Perspectives3
Carnegie-Rochester Conference Series on Public Policy2
Journal of International Money and Finance2
Journal of International Economics2
American Economic Review2
Journal of Political Economy2
Journal of Money, Credit and Banking2
The Journal of Business2
Journal of Accounting Research2
European Financial Management2

Working Papers Series with more than one paper published# docs
Working Paper Series / Ohio State University, Charles A. Dice Center for Research in Financial Economics63
Swiss Finance Institute Research Paper Series / Swiss Finance Institute3
Working Papers / University of Pennsylvania, Wharton School, Weiss Center2

Recent works citing René M. Stulz (2018 and 2017)


YearTitle of citing document
2017The Bank-Sovereign Nexus: Evidence from a non-Bailout Episode. (2017). Ravazzolo, Francesco ; Natvik, Gisle ; Caporin, Massimiliano ; de Magistris, Paolo Santucci. In: CREATES Research Papers. RePEc:aah:create:2017-25.

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2018Contagion between Islamic and Conventional Banks in Malaysia: Empirical Investigation using a DCC-GARCH Model العدوى بين البنوك الإسلامية والتقليدية في ماليزي. (2018). ben Latifa, Monia ; Khoufi, Walid. In: Articles published in the Journal of King Abdulaziz University: Islamic Economics.. RePEc:abd:kauiea:v:31:y:2018:i:1:no:11:p:167-178.

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2018Contagion between Islamic and Conventional Banks in Malaysia: Empirical Investigation using a DCC-GARCH Model العدوى بين البنوك الإسلامية والتقليدية في ماليزي. (2018). ben Latifa, Monia ; Khoufi, Walid. In: Articles published in the Journal of King Abdulaziz University: Islamic Economics.. RePEc:abd:kauiea:v:31:y:2018:i:1:p:167-178.

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2017Financial Development and Pre-historic Geographical Isolation: Global Evidence. (2017). Tchamyou, Vanessa ; Kodila-Tedika, Oasis ; Asongu, Simplice ; Cinyabuguma, Matthias. In: Working Papers. RePEc:agd:wpaper:17/041.

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2017Panel causality analysis between exchange rates and stock indexes for fragile five. (2017). yilanci, Veli ; Aikgoz, Ersin ; Pekkaya, Mehmet . In: Theoretical and Applied Economics. RePEc:agr:journl:v:xxiv:y:2017:i:2(611):p:33-44.

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2018Cooperatives capital structure adjustment during the agricultural downturn. (2018). Katchova, Ani ; Cheng, Yuxi. In: 2018 Annual Meeting, August 5-7, Washington, D.C.. RePEc:ags:aaea18:273788.

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2018Determinants of corporate cash holdings in times of crisis: insights from Brazilian sugarcane industry private firms. (2018). Silva, Aviner Augusto ; Never, Marcos Fava ; Lopes, David Ferreira ; da Costa, Marcelo Botelho . In: International Food and Agribusiness Management Review. RePEc:ags:ifaamr:269548.

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2017Wave after Wave: Contagion Risk from Commodity Markets. (2017). Algieri, Bernardina ; Leccadito, Arturo. In: Discussion Papers. RePEc:ags:ubzefd:257801.

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2018Corporate Borrowing and Debt Maturity: The Effects of Market Access and Crises. (2018). Schmukler, Sergio ; Didier, Tatiana ; Cortina, Juan J. In: Mo.Fi.R. Working Papers. RePEc:anc:wmofir:149.

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2017Assessment of the Enterprise Risk Management (ERM) in the Nigerian Banking Industry. (2017). Orok, Akaninyene ; Udoka, Chris O. In: Asian Journal of Economics and Empirical Research. RePEc:aoj:ajeaer:2017:p:68-74.

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2017Impact of Index Options on Emerging Market Volatility: The Case of the Malaysian Equity Market. (2017). Mohibul, MD ; Islam, Anisul M. In: International Journal of Economics and Financial Research. RePEc:arp:ijefrr:2017:p:157--172.

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2017Measuring the frequency dynamics of financial connectedness and systemic risk. (2017). Krehlik, Tomas ; Baruník, Jozef. In: Papers. RePEc:arx:papers:1507.01729.

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2017A Possibilistic and Probabilistic Approach to Precautionary Saving. (2017). Georgescu, Irina ; Cristobal-Campoamor, Adolfo ; Lucia, Ana Maria. In: Papers. RePEc:arx:papers:1706.07760.

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2017Financial option insurance. (2017). Wang, Qi-Wen ; Shu, Jian-Jun . In: Papers. RePEc:arx:papers:1708.02180.

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2017Time-Varying Extreme Value Dependence with Application to Leading European Stock Markets. (2017). de Carvalho, Miguel ; Wadsworth, Jennifer ; Camilo, Daniela Castro . In: Papers. RePEc:arx:papers:1709.01198.

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2018Game-theoretic derivation of upper hedging prices of multivariate contingent claims and submodularity. (2018). Matsuda, Takeru ; Takemura, Akimichi. In: Papers. RePEc:arx:papers:1806.07626.

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2018A factor-model approach for correlation scenarios and correlation stress-testing. (2018). Packham, Natalie ; Woebbeking, Fabian. In: Papers. RePEc:arx:papers:1807.11381.

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2017The Performance of REIT Acquirers in the Post-Merger Period. (2017). Dimovski, Bill ; Keneley, Monica ; Ratcliffe, Chris. In: ERES. RePEc:arz:wpaper:eres2017_43.

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2018Exploring sentiment-driven trading behavior of different types of investors in London office market. (2018). Ke, Qiulin ; Sieracki, Karen. In: ERES. RePEc:arz:wpaper:eres2018_112.

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2018The Information Content of Analysts Net Asset Value Estimates: The Case of Real Estate Investment Trusts (REITs). (2018). Chacon, Ryan ; Pukthuanthong, Kuntara ; French, Dan. In: ERES. RePEc:arz:wpaper:eres2018_82.

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2017The Effects of Inflation and Operating Cycle on Cash Holdings (Liquidity) of Listed Companies in Tehran Stock Exchange. (2017). Fallah, Samaneh ; Hashemi, Seyyed Abbas . In: Asian Economic and Financial Review. RePEc:asi:aeafrj:2017:p:43-51.

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2018Does Bank Corporate Governance Matter for Bank Performance and Risk-Taking? New Insights of an Emerging Economy. (2018). Moudud-Ul, Syed ; Gupta, Anupam Das ; Zheng, Changjun. In: Asian Economic and Financial Review. RePEc:asi:aeafrj:2018:p:205-230.

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2018Do Institutional Investors Drive Corporate Social Responsibility? International Evidence. (2018). Dyck, Alexander ; Wagner, Hannes F ; Roth, Lukas ; Lins, Karl V. In: BAFFI CAREFIN Working Papers. RePEc:baf:cbafwp:cbafwp1873.

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2017Stock Market Integration and Financial Crises: Evidence from Chinese Sectoral Portfolios. (2017). Daly, Vincent ; Li, Hong. In: Review of Economics & Finance. RePEc:bap:journl:170403.

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2018Derivatives Usage by Australian Industrial Firms: Pre-, during and post-GFC. (2018). Tanha, Hassan ; Labeb, Mena ; Dempsey, Michael. In: Review of Economics & Finance. RePEc:bap:journl:180103.

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2018Covariance Risk and the Ripple Effect in the UK Regional Housing Market. (2018). Morley, Bruce ; Thomas, Dennis . In: Review of Economics & Finance. RePEc:bap:journl:180301.

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2018Determinants of Financial Derivative Usage: Empirical Evidence from the Perspective of Governance Structure. (2018). Chen, Jeffrey ; Guan, Yun. In: Review of Economics & Finance. RePEc:bap:journl:180302.

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2017The Unemployment Effect of Central Bank Transparency. (2017). Weber, Christoph S. In: Working Papers. RePEc:bav:wpaper:172_weber.

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2017Systemic Financial Sector and Sovereign Risks. (2017). Jin, Xisong ; de Simone, Francisco Nadal . In: BCL working papers. RePEc:bcl:bclwop:bclwp109.

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2017The impact of firms’ financial position on fixed investment and employment. An analysis for Spain. (2017). Martinez Carrascal, Carmen ; Gonzalez, Fatima Herranz ; Martinez-Carrascal, Carmen . In: Working Papers. RePEc:bde:wpaper:1714.

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2017Leverage and deepening business cycle skewness. (2017). Santoro, Emiliano ; Ravn, Søren Hove ; Petrella, Ivan ; Jensen, Henrik. In: Working Papers. RePEc:bde:wpaper:1732.

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2017The derivatives through the lens of the financial accounts: measurement and analysis. (2017). Infante, Luigi ; Sorvillo, Bianca . In: Questioni di Economia e Finanza (Occasional Papers). RePEc:bdi:opques:qef_389_17.

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2018Corporate liquidity in Italy and its increase in the long recession. (2018). Dottori, Davide ; Micucci, Giacinto. In: Questioni di Economia e Finanza (Occasional Papers). RePEc:bdi:opques:qef_420_18.

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2018Missing Investors in the Italian Corporate Bond Market. (2018). Accornero, Matteo ; Nigro, Valentina ; Guazzarotti, Giovanni ; Russo, Paolo Finaldi . In: Questioni di Economia e Finanza (Occasional Papers). RePEc:bdi:opques:qef_450_18.

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2017Investment decisions by European firms and financing constraints. (2017). Silvestrini, Andrea ; Mäkinen, Taneli ; Makinen, Taneli ; Mercatanti, Andrea. In: Temi di discussione (Economic working papers). RePEc:bdi:wptemi:td_1148_17.

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2018Why do banks securitise their assets? Bank-level evidence from over one hundred countries in the pre-crisis period. (2018). Panetta, Fabio ; Pozzolo, Alberto Franco . In: Temi di discussione (Economic working papers). RePEc:bdi:wptemi:td_1183_18.

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2017The International Bank Lending Channel of Monetary Policy Rates and QE: Credit Supply, Reach-for-Yield, and Real Effects. (2017). Ruiz Ortega, Claudia ; Roldan Peña, Jessica ; Peydro, Jose-Luis ; Claudia, Ruiz ; Jessica, Roldan-Pea ; Jose-Luis, Peydro ; Bernardo, Morais . In: Working Papers. RePEc:bdm:wpaper:2017-15.

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2018Return Volatility and Macroeconomic Factors: A Comparison of US and Pakistani Firms. (2018). Jan, Sharif Ullah ; Khan, Hashim . In: Business & Economic Review. RePEc:bec:imsber:v:10:y:2018:i:2:p:1-28.

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2018The Determinants of Cash Holdings around Different Regions of the World. (2018). Aftab, Ummar ; Akhter, Waseem ; Javid, Attiya Yasmin. In: Business & Economic Review. RePEc:bec:imsber:v:10:y:2018:i:2:p:151-182.

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2017Firm Characteristics and Cash-Cash Flow Sensitivity of the Manufacturing Sector of Pakistan. (2017). , Saddiqa ; Ul, Ayaz. In: Business & Economic Review. RePEc:bec:imsber:v:9:y:2017:i:3:p:71-103.

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2017CONDITIONAL CO-MOVEMENT AND DYNAMIC INTERACTIONS: US AND BRIC EQUITY MARKETS. (2017). Singh, Amanjot. In: Economic Annals. RePEc:beo:journl:v:62:y:2017:i:212:p:85-112.

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2017Corporate leverage in emerging Asia. (2017). Goyal, Vidhan ; Packer, Frank. In: BIS Papers chapters. RePEc:bis:bisbpc:91-08.

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2018Frontiers of macrofinancial linkages. (2018). Claessens, Stijn ; Kose, Ayhan M. In: BIS Papers. RePEc:bis:bisbps:95.

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2018The credit default swap market: what a difference a decade makes. (2018). Ehlers, Torsten ; Aldasoro, Iñaki. In: BIS Quarterly Review. RePEc:bis:bisqtr:1806b.

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2017Changing business models in international bank funding. (2017). Rixtel, Adrian ; Gambacorta, Leonardo ; van Rixtel, Adrian ; Schiaffi, Stefano . In: BIS Working Papers. RePEc:bis:biswps:614.

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2017How post-crisis regulation has affected bank CEO compensation. (2017). Oliviero, Tommaso ; Gambacorta, Leonardo ; CERASI, VITTORIA ; Deininger, Sebastian M. In: BIS Working Papers. RePEc:bis:biswps:630.

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2017Macroprudential policy and bank risk. (2017). Gambacorta, Leonardo ; Binici, Mahir ; Altunbas, Yener. In: BIS Working Papers. RePEc:bis:biswps:646.

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2017Asset prices and macroeconomic outcomes: a survey. (2017). Kose, Ayhan ; Claessens, Stijn. In: BIS Working Papers. RePEc:bis:biswps:676.

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2017Syndicated loans and CDS positioning. (2017). Barth, Andreas ; Aldasoro, Iñaki. In: BIS Working Papers. RePEc:bis:biswps:679.

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2018Are banks opaque? Evidence from insider trading. (2018). Upper, Christian ; Spargoli, Fabrizio . In: BIS Working Papers. RePEc:bis:biswps:697.

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2017The Effect of Business and Financial Market Cycles on Credit Ratings: Evidence from the Last Two Decades. (2017). Stolowy, Hervé ; Astolfi, Pierre ; Paugam, Luc ; Lobo, Gerald J. In: Abacus. RePEc:bla:abacus:v:53:y:2017:i:1:p:59-93.

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2017Why Do Canadian Firms Cross-list? The Flip Side of the Issue. (2017). Charitou, Andreas ; Louca, Christodoulos . In: Abacus. RePEc:bla:abacus:v:53:y:2017:i:2:p:211-239.

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2017Improved corporate governance and Chinese seasoned equity offering announcement effects. (2017). Chen, Xiaoyan . In: Accounting and Finance. RePEc:bla:acctfi:v:57:y:2017:i:2:p:401-428.

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2017Firm life cycle, corporate risk-taking and investor sentiment. (2017). Habib, Ahsan ; Hasan, Mostafa Monzur. In: Accounting and Finance. RePEc:bla:acctfi:v:57:y:2017:i:2:p:465-497.

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2017Long-Term post-merger announcement performance. A case study of Australian listed real estate. (2017). Ratcliffe, Chris ; Smith, Tom ; Keneley, Monica ; Dimovski, Bill. In: Accounting and Finance. RePEc:bla:acctfi:v:57:y:2017:i:3:p:855-877.

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2017The role of managerial risk-taking in the ‘rise and fall’ of the CDS market. (2017). Dias, Roshanthi . In: Accounting and Finance. RePEc:bla:acctfi:v:57:y:2017:i::p:117-145.

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2017Conditional returns to shareholders of bidding firms: an Australian study. (2017). Akhtar, Farida. In: Accounting and Finance. RePEc:bla:acctfi:v:57:y:2017:i::p:3-43.

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2017Diversification into Emerging Markets – An Australian and the US Perspective Using a Time-varying Approach. (2017). Gupta, Rakesh ; Jithendranathan, Thadavillil ; Yang, Junhao . In: Australian Economic Papers. RePEc:bla:ausecp:v:56:y:2017:i:2:p:134-162.

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2017INTERNATIONAL DEAL EXPERIENCE AND CROSS-BORDER ACQUISITIONS. (2017). Stroup, Caleb. In: Economic Inquiry. RePEc:bla:ecinqu:v:55:y:2017:i:1:p:73-97.

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2017LIQUIDITY RISK AND TIME-VARYING CORRELATION BETWEEN EQUITY AND CURRENCY RETURNS. (2017). Jung, Kuk Mo ; Mo, Kuk . In: Economic Inquiry. RePEc:bla:ecinqu:v:55:y:2017:i:2:p:898-919.

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2017THE PROTESTANT FISCAL ETHIC: RELIGIOUS CONFESSION AND EURO SKEPTICISM IN GERMANY. (2017). Krapf, Matthias ; Chadi, Adrian. In: Economic Inquiry. RePEc:bla:ecinqu:v:55:y:2017:i:4:p:1813-1832.

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2017Money, Lending and Banking Crises. (2017). Pea, Guillermo . In: Economic Papers. RePEc:bla:econpa:v:36:y:2017:i:4:p:444-458.

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2017Credit booms and busts in emerging markets. (2017). Brown, Martin ; Andrieș, Alin Marius. In: The Economics of Transition. RePEc:bla:etrans:v:25:y:2017:i:3:p:377-437.

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2017Foreign Institutional Investment, Ownership, and Liquidity: Real and Informational Frictions. (2017). Suardi, Sandy ; Nilsson, Birger ; Ding, Mingfa . In: The Financial Review. RePEc:bla:finrev:v:52:y:2017:i:1:p:101-144.

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2017The Impact of Financing Constraints and Agency Costs on Corporate R&D Investment: Evidence from China. (2017). Lin, Jun Z ; Sun, Fangcheng ; Liu, Shengqiang. In: International Review of Finance. RePEc:bla:irvfin:v:17:y:2017:i:1:p:3-42.

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2017DOES DISTANCE MATTER IN MERGERS AND ACQUISITIONS?. (2017). Bick, Patty ; Walkup, Brian R ; Lynch, Andrew A ; Crook, Matthew D. In: Journal of Financial Research. RePEc:bla:jfnres:v:40:y:2017:i:1:p:33-54.

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2017MNE Headquarters Disaggregation: The Formation Antecedents of Regional Management Centers. (2017). Andreas, ; Pinkham, Brian C ; Stallkamp, Maximilian. In: Journal of Management Studies. RePEc:bla:jomstd:v:54:y:2017:i:8:p:1144-1169.

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2017Special Edition: Longevity 10 – The Tenth International Longevity Risk and Capital Markets Solutions Conference. (2017). Blake, David ; Yu, Jifeng ; Tian, Ruilin ; MacMinn, Richard D ; Lin, Yijia ; Morales, Marco. In: Journal of Risk & Insurance. RePEc:bla:jrinsu:v:84:y:2017:i:s1:p:345-365.

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2017How Has the Behavior of Cross-Market Correlations Altered During Financial and Debt Crises?. (2017). demiralay, sercan ; Ulusoy, Veysel. In: Manchester School. RePEc:bla:manchs:v:85:y:2017:i:6:p:765-794.

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2017Corporate Finance in Africa: The Interactive Impact of Firm Nationality and Characteristics. (2017). Ezeoha, Abel Ebeh . In: Review of Development Economics. RePEc:bla:rdevec:v:21:y:2017:i:3:p:849-873.

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2017Bilateral Tax Treaties and GDP Comovement. (2017). Weber, Caroline ; Sly, Nicholas. In: Review of International Economics. RePEc:bla:reviec:v:25:y:2017:i:2:p:292-319.

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2017Towards Understanding Dynamic Complexity in Financial Systems Structure-based Explanatory Modelling of Risks. (2017). Hoffmann, Christian Hugo. In: Systems Research and Behavioral Science. RePEc:bla:srbeha:v:34:y:2017:i:6:p:728-745.

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2017Ripple Effects of CEO Awards: Investigating the Acquisition Activities of Superstar CEOs Competitors. (2017). Shi, Wei ; Hoskisson, Robert E ; Zhang, Yan . In: Strategic Management Journal. RePEc:bla:stratm:v:38:y:2017:i:10:p:2080-2102.

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2017High-Reputation Firms and Their Differential Acquisition Behaviors. (2017). Haleblian, Jerayr J ; Kiley, Jason T ; Pfarrer, Michael D. In: Strategic Management Journal. RePEc:bla:stratm:v:38:y:2017:i:11:p:2237-2254.

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2017Is there a “Dark Side” to Monitoring? Board and Shareholder Monitoring Effects on M&A Performance Extremeness. (2017). Goranova, Maria L ; Trahms, Cheryl A ; Ndofor, Hermann A ; Priem, Richard L. In: Strategic Management Journal. RePEc:bla:stratm:v:38:y:2017:i:11:p:2285-2297.

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2017Stakeholder Orientation and Acquisition Performance. (2017). , Emanuele ; Zollo, Maurizio. In: Strategic Management Journal. RePEc:bla:stratm:v:38:y:2017:i:12:p:2465-2485.

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2017Foreshadowing as Impression Management: Illuminating the Path for Security Analysts. (2017). Busenbark, John R ; Certo, Trevis S ; Lange, Donald . In: Strategic Management Journal. RePEc:bla:stratm:v:38:y:2017:i:12:p:2486-2507.

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2017Subprime governance: Agency costs in vertically integrated banks and the 2008 mortgage crisis. (2017). Gartenberg, Claudine ; Pierce, Lamar. In: Strategic Management Journal. RePEc:bla:stratm:v:38:y:2017:i:2:p:300-321.

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2017When is cash good or bad for firm performance?. (2017). Deb, Palash ; O'Brien, Jonathan ; David, Parthiban . In: Strategic Management Journal. RePEc:bla:stratm:v:38:y:2017:i:2:p:436-454.

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2017Board representation in international joint ventures. (2017). , Ilya ; Bensaou, Ben ; Reuer, Jeffrey J ; Ertug, Gokhan . In: Strategic Management Journal. RePEc:bla:stratm:v:38:y:2017:i:4:p:920-938.

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2017Embracing the foreign: Cultural attractiveness and international strategy. (2017). Li, Chengguang ; Fisch, Jan Hendrik ; Ponzi, Leonard J ; Shenkar, Oded ; Brodbeck, Felix C. In: Strategic Management Journal. RePEc:bla:stratm:v:38:y:2017:i:4:p:950-971.

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2017Cross-border mergers and acquisitions: The role of private equity firms. (2017). Humphery-Jenner, Mark ; Suchard, Jo-Ann ; Sautner, Zacharias. In: Strategic Management Journal. RePEc:bla:stratm:v:38:y:2017:i:8:p:1688-1700.

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2017Top management team incentive heterogeneity, strategic investment behavior, and performance: A contingency theory of incentive alignment. (2017). Steinbach, Adam L ; Cannella, Albert A ; Devers, Cynthia E ; Holmes, Michael R ; Holcomb, Tim R. In: Strategic Management Journal. RePEc:bla:stratm:v:38:y:2017:i:8:p:1701-1720.

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2017FINANCIAL CRISES, INCOME LEVELS AND ACCESS TO FINANCE. (2017). Dincer, Kaya Halil. In: Studies in Business and Economics. RePEc:blg:journl:v:12:y:2017:i:2:p:112-124.

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2017Internal Capital Markets in Times of Crisis: The Benefit of Group Affiliation in Italy. (2017). Schiantarelli, Fabio ; Santioni, Raffaele ; Strahan, Philip E. In: Boston College Working Papers in Economics. RePEc:boc:bocoec:929.

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2017Forecasting multidimensional tail risk at short and long horizons. (2017). Polanski, Arnold ; Stoja, Evarist. In: Bank of England working papers. RePEc:boe:boeewp:0660.

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2017The impact of Solvency II regulations on life insurers’ investment behaviour. (2017). Vause, Nicholas ; Noss, Joseph ; Douglas, Graeme . In: Bank of England working papers. RePEc:boe:boeewp:0664.

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2018Rethinking financial stability. (2018). HALDANE, ANDREW ; Aikman, David ; Kapadia, Sujit ; Hinterschweiger, Marc. In: Bank of England working papers. RePEc:boe:boeewp:0712.

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2018Capital regulation and product market outcomes. (2018). Sen, Ishita ; Humphry, David. In: Bank of England working papers. RePEc:boe:boeewp:0715.

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2018Business investment, cash holding and uncertainty since the Great Financial Crisis. (2018). Smietanka, Pawel ; Mizen, Paul ; Bloom, Nicholas. In: Bank of England working papers. RePEc:boe:boeewp:0753.

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2018The real value of China’s stock market. (2018). Carpenter, Jennifer N ; Whitelaw, Robert F ; Lu, Fangzhou . In: BOFIT Discussion Papers. RePEc:bof:bofitp:002.

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2017Financial development, rule of law and wealth inequality : Bayesian model averaging evidence. (2017). Širaňová, Mária ; Horvath, Roman ; Siranova, Maria ; Horvatova, Eva. In: BOFIT Discussion Papers. RePEc:bof:bofitp:2017_012.

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2018The real value of China’s stock market. (2018). Carpenter, Jennifer N ; Whitelaw, Robert F ; Lu, Fangzhou . In: BOFIT Discussion Papers. RePEc:bof:bofitp:2018_002.

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2018Bank profitability and economic growth. (2018). Weill, Laurent ; Klein, Paul-Olivier. In: BOFIT Discussion Papers. RePEc:bof:bofitp:2018_015.

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2017Do managerial risk-taking incentives influence firms’ exchange rate exposure?. (2017). HASAN, IFTEKHAR ; Zhu, Yun ; Hunter, Delroy M ; Francis, Bill B. In: Research Discussion Papers. RePEc:bof:bofrdp:2017_016.

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2017The impacts of intellectual property rights protection on cross-border M&As. (2017). HASAN, IFTEKHAR ; Sun, Xian ; Khalil, Fahad. In: Research Discussion Papers. RePEc:bof:bofrdp:2017_017.

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2018CONTAGION AND CORRELATION IN EMPIRICAL MODELS OF BANK CREDIT RISK IN ISRAEL. (2018). Beenstock, Michael ; Khatib, Mahmood. In: Israel Economic Review. RePEc:boi:isrerv:v:15:y:2018:i:1:p:1-34.

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2018Who Improves or Worsens Liquidity in the Korean Treasury Bond Market?. (2018). Lee, Jieun. In: Working Papers. RePEc:bok:wpaper:1803.

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2017Stock markets volatility spillovers during financial crises: A DCC-MGARCH with skewed-t density approach. (2017). Balaa, Dahiru A ; Takimotob, Taro . In: Borsa Istanbul Review. RePEc:bor:bistre:v:17:y:2017:i:1:p:25-48.

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2018Does access to formal finance matter for stimulating entrepreneurship in developing countries? Evidence from non-farm entrepreneurial activities in Nigeria. (2018). Adebowale, Olabimtan ; Lawson, David. In: Global Development Institute Working Paper Series. RePEc:bwp:bwppap:262018.

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2017Divestitures and the financial conglomerate excess value. (2017). Murgia, Maurizio ; Curi, Claudia . In: BEMPS - Bozen Economics & Management Paper Series. RePEc:bzn:wpaper:bemps43.

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

René M. Stulz is editor of


Journal
Handbook of the Economics of Finance
Handbook of the Economics of Finance

René M. Stulz has edited the books:


YearTitleTypeCited

Works by René M. Stulz:


YearTitleTypeCited
2000U.S. Banks, Crises, and Bailouts: From Mexico to LTCM In: American Economic Review.
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article50
2000U.S. Banks, Crises, and Bailouts: From Mexico to LTCM.(2000) In: NBER Working Papers.
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paper
2003Equity-Market Liberalizations as Country IPOs In: American Economic Review.
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article34
2003Equity market liberalizations as country IPOs.(2003) In: NBER Working Papers.
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This paper has another version. Agregated cites: 34
paper
2004Should We Fear Derivatives? In: Journal of Economic Perspectives.
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article29
2004Should We Fear Derivatives?.(2004) In: Working Paper Series.
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paper
2004Should We Fear Derivatives?.(2004) In: NBER Working Papers.
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This paper has another version. Agregated cites: 29
paper
2007Hedge Funds: Past, Present, and Future In: Journal of Economic Perspectives.
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article34
2007Hedge Funds: Past, Present, and Future.(2007) In: Working Paper Series.
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This paper has another version. Agregated cites: 34
paper
2010Credit Default Swaps and the Credit Crisis In: Journal of Economic Perspectives.
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article113
2009Credit Default Swaps and the Credit Crisis.(2009) In: Working Paper Series.
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paper
2009Credit Default Swaps and the Credit Crisis.(2009) In: NBER Working Papers.
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This paper has another version. Agregated cites: 113
paper
2006Financial globalisation, governance and the evolution of the home bias In: BIS Working Papers.
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paper80
2009Financial Globalization, Governance, and the Evolution of the Home Bias.(2009) In: Journal of Accounting Research.
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article
2006Financial Globalization, Governance, and the Evolution of the Home Bias.(2006) In: Working Paper Series.
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paper
2008Financial globalization, governance, and the evolution of the home bias.(2008) In: Globalization and Monetary Policy Institute Working Paper.
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paper
2006Financial Globalization, Governance, and the Evolution of the Home Bias.(2006) In: NBER Working Papers.
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This paper has another version. Agregated cites: 80
paper
1995The cost of capital in internationally integrated markets: The case of Nestlé In: European Financial Management.
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article20
1996Does the cost of capital differ across countries? An agency perspective In: European Financial Management.
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article3
2000Financial Structure, Corporate Finance and Economic Growth In: International Review of Finance.
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article15
1999GOLBALIZATION, CORPORATE FINANCE, AND THE COST OF CAPITAL In: Journal of Applied Corporate Finance.
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article142
2001MERTON MILLERS CONTRIBUTIONS TO MODERN FINANCE In: Journal of Applied Corporate Finance.
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article1
2001CORPORATE CASH HOLDINGS In: Journal of Applied Corporate Finance.
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article5
2006Enterprise Risk Management: Theory and Practice In: Journal of Applied Corporate Finance.
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article25
2006Enterprise Risk Management: Theory and Practice.(2006) In: Working Paper Series.
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paper
2007The Limits of Financial Globalization In: Journal of Applied Corporate Finance.
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article237
2005The Limits of Financial Globalization.(2005) In: Journal of Finance.
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article
2005The Limits of Financial Globalization.(2005) In: Working Paper Series.
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paper
2005The Limits of Financial Globalization.(2005) In: NBER Working Papers.
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This paper has another version. Agregated cites: 237
paper
2007Cash Holdings, Dividend Policy, and Corporate Governance: A Cross-Country Analysis In: Journal of Applied Corporate Finance.
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article6
2008Risk Management Failures: What Are They and When Do They Happen? In: Journal of Applied Corporate Finance.
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article19
2008Risk Management Failures: What Are They and When Do They Happen?.(2008) In: Working Paper Series.
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paper
2010The Squam Lake Report: Fixing the Financial System In: Journal of Applied Corporate Finance.
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article81
2013How Companies Can Use Hedging to Crate Shareholder Value In: Journal of Applied Corporate Finance.
[Full Text][Citation analysis]
article3
2013Aligning Incentives at Systemically Important Financial Institutions: A Proposal by the Squam Lake Group In: Journal of Applied Corporate Finance.
[Full Text][Citation analysis]
article3
1995GLOBALIZATION OF CAPITAL MARKETS AND THE COST OF CAPITAL: THE CASE OF NESTLÉ In: Journal of Applied Corporate Finance.
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article14
1996RETHINKING RISK MANAGEMENT In: Journal of Applied Corporate Finance.
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article182
1981On the Effects of Barriers to International Investment. In: Journal of Finance.
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article197
1983 On the Determinants of Net Foreign Investment. In: Journal of Finance.
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article2
1986 Asset Pricing and Expected Inflation. In: Journal of Finance.
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article41
1987 The Pricing of Options with Default Risk. In: Journal of Finance.
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article45
1989Report of the Managing Editor of The Journal of Finance for the Year 1988 In: Journal of Finance.
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article0
1990 The Distribution of Target Ownership and the Division of Gains in Successful Takeovers. In: Journal of Finance.
[Full Text][Citation analysis]
article73
1996 Why Do Markets Move Together? An Investigation of U.S.-Japan Stock Return Comovements. In: Journal of Finance.
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article191
1996Why do Markets Move Together? An Investigation of U.S.-Japan Stock Return Comovements.(1996) In: Research in Financial Economics.
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paper
1998Report of the Editor of The Journal of Finance for the Year 1997 In: Journal of Finance.
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article0
1999Erratum from the Editor In: Journal of Finance.
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article0
2000Report of the Editor for His Tenure and 1999 In: Journal of Finance.
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article1
2005Wealth Destruction on a Massive Scale? A Study of Acquiring-Firm Returns in the Recent Merger Wave In: Journal of Finance.
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article209
2004Wealth Destruction on a Massive Scale? A Study of Acquiring-Firm Returns in the Recent Merger Wave.(2004) In: NBER Working Papers.
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paper
2006Does the Contribution of Corporate Cash Holdings and Dividends to Firm Value Depend on Governance? A Cross-country Analysis In: Journal of Finance.
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article155
2007Why Do Firms Become Widely Held? An Analysis of the Dynamics of Corporate Ownership In: Journal of Finance.
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article42
2005Why Do Firms Become Widely Held? An Analysis of the Dynamics of Corporate Ownership.(2005) In: Working Paper Series.
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paper
2005Why Do Firms Become Widely Held? An Analysis of the ynamics of Corporate Ownership.(2005) In: NBER Working Papers.
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paper
2009Private Benefits of Control, Ownership, and the Cross-listing Decision In: Journal of Finance.
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article84
2005Private Benefits of Control, Ownership, and the Cross-Listing Decision.(2005) In: Working Paper Series.
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paper
2005Private Benefits of Control, Ownership, and the Cross-Listing Decision.(2005) In: Working Papers.
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paper
2005Private Benefits of Control, Ownership, and the Cross-Listing Decision.(2005) In: NBER Working Papers.
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paper
2009Why Do U.S. Firms Hold So Much More Cash than They Used To? In: Journal of Finance.
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article341
2007Why Do U.S. Firms Hold So Much More Cash Than They Used To?.(2007) In: Working Paper Series.
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paper
2006Why Do U.S. Firms Hold So Much More Cash Than They Used To?.(2006) In: NBER Working Papers.
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paper
2010Why Do Foreign Firms Leave U.S. Equity Markets? In: Journal of Finance.
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article31
2009Why Do Foreign Firms Leave U.S. Equity Markets?.(2009) In: Working Paper Series.
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paper
2008Why Do Foreign Firms Leave U.S. Equity Markets?.(2008) In: NBER Working Papers.
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This paper has another version. Agregated cites: 31
paper
2010Hedge Fund Contagion and Liquidity Shocks In: Journal of Finance.
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article103
2012Why Are U.S. Stocks More Volatile? In: Journal of Finance.
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article41
2011Why Are U.S. Stocks More Volatile?.(2011) In: Working Paper Series.
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paper
2012Why are U.S. Stocks More Volatile?.(2012) In: MPRA Paper.
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paper
2012This Time Is the Same: Using Bank Performance in 1998 to Explain Bank Performance during the Recent Financial Crisis In: Journal of Finance.
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article52
This Time Is the Same: Using Bank Performance in 1998 to Explain Bank Performance During the Recent Financial Crisis.() In: Swiss Finance Institute Research Paper Series.
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paper
2011This Time Is the Same: Using Bank Performance in 1998 to Explain Bank Performance during the Recent Financial Crisis.(2011) In: Working Paper Series.
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paper
2011This Time Is the Same: Using Bank Performance in 1998 to Explain Bank Performance During the Recent Financial Crisis.(2011) In: NBER Working Papers.
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paper
2009Securities Laws, Disclosure, and National Capital Markets in the Age of Financial Globalization In: Journal of Accounting Research.
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article16
2008Securities Laws, Disclosure, and National Capital Markets in the Age of Financial Globalization.(2008) In: NBER Working Papers.
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paper
2009Bank CEO Incentives and the Credit Crisis In: Swiss Finance Institute Research Paper Series.
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paper203
2009Bank CEO Incentives and the Credit Crisis.(2009) In: Working Paper Series.
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paper
2011Bank CEO incentives and the credit crisis.(2011) In: Journal of Financial Economics.
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article
2009Bank CEO Incentives and the Credit Crisis.(2009) In: NBER Working Papers.
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paper
2010The Dark Side of Outside Directors: Do they Quit When They are Most Needed? In: Swiss Finance Institute Research Paper Series.
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paper11
2010The Dark Side of Outside Directors: Do They Quit When They Are Most Needed?.(2010) In: Working Paper Series.
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paper
2010The dark side of outside directors: Do they quit when they are most needed?.(2010) In: NBER Working Papers.
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paper
1995Foreign Equity Investment Restrictions, Capital Flight, and Shareholder Wealth Maximization In: CEPR Discussion Papers.
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paper25
1984Optimal Hedging Policies In: Journal of Financial and Quantitative Analysis.
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article206
1985The Determinants of Firms Hedging Policies In: Journal of Financial and Quantitative Analysis.
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article440
1989The Pricing of Stock Index Options in a General Equilibrium Model In: Journal of Financial and Quantitative Analysis.
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article31
1995An Analysis of the Wealth Effects of Japanese Offshore Dollar-Denominated Convertible and Warrant Bond Issues In: Journal of Financial and Quantitative Analysis.
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article14
2003Corporate Governance and the Home Bias In: Journal of Financial and Quantitative Analysis.
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article170
2002Corporate Governance and the Home Bias.(2002) In: SIFR Research Report Series.
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paper
2001Corporate Governance and the Home Bias.(2001) In: NBER Working Papers.
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paper
2004Dividend Policy, Agency Costs, and Earned Equity In: Working Paper Series.
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paper8
2004Dividend Policy, Agency Costs, and Earned Equity.(2004) In: NBER Working Papers.
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paper
2004Stock Market Trading and Market Conditions In: Working Paper Series.
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paper7
2004Stock Market Trading and Market Conditions.(2004) In: NBER Working Papers.
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paper
2004Why Do Countries Matter So Much for Corporate Governance? In: Working Paper Series.
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paper253
2007Why do countries matter so much for corporate governance?.(2007) In: Journal of Financial Economics.
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2004Why Do Countries Matter So Much for Corporate Governance?.(2004) In: NBER Working Papers.
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2004Do Acquirers with More Uncertain Growth Prospects Gain Less from Acquisitions? In: Working Paper Series.
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paper5
2004Do Acquirers With More Uncertain Growth Prospects Gain Less From Acquisitions?.(2004) In: NBER Working Papers.
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paper
2004Do Domestic Investors Have an Edge? The Trading Experience of Foreign Investors in Korea In: Working Paper Series.
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paper151
2004Do Domestic Investors Have an Edge? The Trading Experience of Foreign Investors in Korea.(2004) In: NBER Working Papers.
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2005Do Domestic Investors Have an Edge? The Trading Experience of Foreign Investors in Korea.(2005) In: Review of Financial Studies.
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2005Do Investors Trade More When Stocks Have Performed Well? Evidence from 46 Countries In: Working Paper Series.
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paper0
2005The Risks of Financial Institutions In: Working Paper Series.
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paper7
2007The Risks of Financial Institutions.(2007) In: NBER Books.
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book
2005The Risks of Financial Institutions.(2005) In: NBER Working Papers.
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2005How Much Do Banks Use Credit Derivatives to Reduce Risk? In: Working Paper Series.
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paper25
2005How Much Do Banks Use Credit Derivatives to Reduce Risk?.(2005) In: NBER Working Papers.
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paper
2006Do Local Analysts Know More? A Cross-Country Study of the Performance of Local Analysts and Foreign Analysts In: Working Paper Series.
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paper107
2008Do local analysts know more? A cross-country study of the performance of local analysts and foreign analysts.(2008) In: Journal of Financial Economics.
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2005Do Local Analysts Know More? A Cross-Country Study of the Performance of Local Analysts and Foreign Analysts.(2005) In: NBER Working Papers.
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2005Financial Globalization, Corporate Governance, and Eastern Europe In: Working Paper Series.
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paper8
2006Financial Globalization, Corporate Governance, and Eastern Europe.(2006) In: NBER Working Papers.
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2006Is There Hedge Fund Contagion? In: Working Paper Series.
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paper2
2008Is There Hedge Fund Contagion?.(2008) In: Working Papers.
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2006Is There Hedge Fund Contagion?.(2006) In: NBER Working Papers.
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paper
2006The Economics of Conflicts of Interest in Financial Institutions In: Working Paper Series.
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paper48
2007The economics of conflicts of interest in financial institutions.(2007) In: Journal of Financial Economics.
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2006The Economics of Conflicts of Interest in Financial Institutions.(2006) In: NBER Working Papers.
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2006Do U.S. Firms Have the Best Corporate Governance? A Cross-Country Examination of the Relation between Corporate Governance and Shareholder Wealth In: Working Paper Series.
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paper4
2007Do U.S. Firms Have the Best Corporate Governance? A Cross-Country Examination of the Relation between Corporate Governance and Shareholder Wealth.(2007) In: NBER Working Papers.
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paper
2006Merton Miller In: Working Paper Series.
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2008Managerial Ownership Dynamics and Firm Value In: Working Paper Series.
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paper25
2009Managerial ownership dynamics and firm value.(2009) In: Journal of Financial Economics.
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2008Managerial ownership dynamics and firm value.(2008) In: CEI Working Paper Series.
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paper
2007Managerial Ownership Dynamics and Firm Value.(2007) In: NBER Working Papers.
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paper
2007Fundamentals, Market Timing, and Seasoned Equity Offerings In: Working Paper Series.
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paper7
2007Fundamentals, Market Timing, and Seasoned Equity Offerings.(2007) In: NBER Working Papers.
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paper
2007Differences in Governance Practices between U.S. and Foreign Firms: Measurement, Causes, and Consequences In: Working Paper Series.
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paper94
2010Differences in Governance Practices between U.S. and Foreign Firms: Measurement, Causes, and Consequences.(2010) In: NBER Chapters.
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chapter
2007Differences in Governance Practices between U.S. and Foreign Firms: Measurement, Causes, and Consequences.(2007) In: NBER Working Papers.
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2009Differences in Governance Practices between U.S. and Foreign Firms: Measurement, Causes, and Consequences.(2009) In: Review of Financial Studies.
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article
2010Differences in Governance Practices between U.S. and Foreign Firms: Measurement, Causes, and Consequences.(2010) In: Review of Financial Studies.
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article
2007Why Do Private Acquirers Pay So Little Compared to Public Acquirers? In: Working Paper Series.
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paper64
2008Why do private acquirers pay so little compared to public acquirers?.(2008) In: Journal of Financial Economics.
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2007Why Do Private Acquirers Pay So Little Compared to Public Acquirers?.(2007) In: NBER Working Papers.
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2007Has New York Become Less Competitive in Global Markets? Evaluating Foreign Listing Choices over Time In: Working Paper Series.
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paper10
2007Has New York Become Less Competitive in Global Markets? Evaluating Foreign Listing Choices Over Time.(2007) In: NBER Working Papers.
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2008How Much Do Banks Use Credit Derivatives to Hedge Loans? In: Working Paper Series.
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paper53
2009How Much Do Banks Use Credit Derivatives to Hedge Loans?.(2009) In: Journal of Financial Services Research.
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2008Why Do Firms Appoint CEOs as Outside Directors? In: Working Paper Series.
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paper41
2010Why do firms appoint CEOs as outside directors?.(2010) In: Journal of Financial Economics.
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2008Why Do Foreign Firms Leave U.S. Equity Markets? An Analysis of Deregistrations under SEC Exchange Act Rule 12h-6 In: Working Paper Series.
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paper1
2008Hedge Fund Contagion and Liquidity In: Working Paper Series.
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paper8
2008Hedge Fund Contagion and Liquidity.(2008) In: NBER Working Papers.
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2009Why Did Some Banks Perform Better during the Credit Crisis? A Cross-Country Study of the Impact of Governance and Regulation In: Working Paper Series.
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paper29
2009Why Did Some Banks Perform Better During the Credit Crisis? A Cross-Country Study of the Impact of Governance and Regulation.(2009) In: NBER Working Papers.
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2009Do Target CEOs Sell Out Their Shareholders to Keep Their Job in a Merger? In: Working Paper Series.
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paper10
2009Do Target CEOs Sell Out Their Shareholders to Keep Their Job in a Merger?.(2009) In: NBER Working Papers.
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2009Why Do Foreign Firms Have Less Idiosyncratic Risk Than U.S. Firms? In: Working Paper Series.
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paper14
2009Why Do Foreign Firms Have Less Idiosyncratic Risk than U.S. Firms?.(2009) In: NBER Working Papers.
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2009When Are Analyst Recommendation Changes Influential? In: Working Paper Series.
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paper44
2009When are Analyst Recommendation Changes Influential?.(2009) In: NBER Working Papers.
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2011When Are Analyst Recommendation Changes Influential?.(2011) In: Review of Financial Studies.
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2010Financial Policies and the Financial Crisis: How Important Was the Systemic Credit Contraction for Industrial Corporations? In: Working Paper Series.
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paper14
2010Financial Policies and the Financial Crisis: How Important Was the Systemic Credit Contraction for Industrial Corporations?.(2010) In: NBER Working Papers.
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2010The Credit Crisis around the Globe: Why Did Some Banks Perform Better? In: Working Paper Series.
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paper245
2012The credit crisis around the globe: Why did some banks perform better?.(2012) In: Journal of Financial Economics.
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2010Are Acquisition Premiums Lower because of Target CEOs Conflicts of Interest? In: Working Paper Series.
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paper3
2011Globalization, Governance, and the Returns to Cross-Border Acquisitions In: Working Paper Series.
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2011Globalization, Governance, and the Returns to Cross-Border Acquisitions.(2011) In: NBER Working Papers.
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2011Liquidity Shocks and Hedge Fund Contagion In: Working Paper Series.
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paper0
2011Why Did U.S. Banks Invest in Highly-Rated Securitization Tranches? In: Working Paper Series.
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paper3
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2011Corporate Acquisitions, Diversification, and the Firms Lifecycle.(2011) In: NBER Working Papers.
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