Journal of Financial Economics 2006 - Abstracts

Journal of Financial Economics 2006
TitleSubjectAuthors
A consumption-based model of the term structure of interest rates.EconomicsWachter, Jessica A.
A general approach to integrated risk management with skewed, fat-tailed risks.EconomicsSchuermann, Til, Rosenberg, Joshua V.
A liquidity-augmented capital asset pricing model.EconomicsLiu, Weimin
An equilibrium model of incentive contracts in the presence of information manipulation.EconomicsGoldmana, Eitan, Slezakb, Steve L.
Are perks purely managerial excess?EconomicsRajana, Raghuram G., Wulfc, Julie
Asset pricing with unforeseen contingencies.EconomicsKraus, Alan, Sagi, Jacob S.
Asymmetric benchmarking in compensation: Executives are rewarded for good luck but not penalized for bad.EconomicsGarvey, Gerald T., Milbourn, Todd T.
A theory of socialistic internal capital markets.EconomicsBernardoa, Antonio E., Luob, Jiang, Wangc, J.D.
Capital structure, credit risk, and macroeconomic conditions.EconomicsMorellec, Erwan, Miao, Jianjun, Hackbarth, Dirk
CEO incentives and earnings management.(chief executive officer)EconomicsBergstressera, Daniel, Philipponb, Thomas
Competition among regulators and credit market integration.EconomicsMarquez, Robert, DellEAriccia, Giovanni
Competition and cooperation among exchanges: a theory of cross-listing and endogenous listing standards.EconomicsFulghieri, Paolo, Chemmanur, Thomas J.
Corporate tax avoidance and high-powered incentives.EconomicsDesaia, Mihir A., Dharmapalac, Dhammika
Cross-sectional forecasts of the equity premium.EconomicsPolk, Christopher, Vuolteenaho, Tuomo, Thompson, Samuel
Crushed by a rational stampede: strategic share dumping and shareholder insurrections.EconomicsNoe, Thomas H., Attaria, Mukarram, Banerjeeb, Suman
Debt financing: Does it boost or hurt firm performance in product markets?EconomicsCampello, Murillo
Determinants of collateral.EconomicsSalas, Vicente, Jimenez, Gabriel, Saurina, Jesus
Dividend changes and catering incentives.(catering industry employee incentive schemes )EconomicsWei Li, Erik Lie
Dividend policy and the earned/contributed capital mix: a test of the life-cycle theory.EconomicsDeAngelo, Harry, DeAngelo, Linda, Stulz, Rene M.
Dividend policy, signaling, and discounts on closed-end funds.EconomicsJohnson, Shane A., Lin, Ji-Chai, Song, Kyojik Roy
Do accurate earnings forecasts facilitate superior investment recommendations?(influence of positive earning forecasts on investments)EconomicsLoh, Roger K., Mian, G. Mujtaba
Do a firm's equity returns reflect the risk of its pension plan?EconomicsBodie, Zvi, Merton, Robert C., Jin, Li
Do alliances promote knowledge flows?EconomicsJaffe, Adam B., Hagedoorn, John, Gomes-Casseres, Benjamin
Does good corporate governance include employee representation? Evidence from German corporate boards.EconomicsFuerst, Michael E., Fauver, Larry
Dynamic forecasting behavior by analysts: theory and evidence.EconomicsClarke, Jonathan, Subramanian, Ajay
Dynamic liquidity in endowment economies.EconomicsJohnson, Timothy C.
Earnings and price momentum.EconomicsChordia, Tarun, Shivakumar, Lakshmanan
Efficient tests of stock return predictability.EconomicsCampbell, John Y., Yogo, Motohiro
Entry regulation as a barrier to entrepreneurship.EconomicsRajan, Raghuram, Laeven, Luc, Klapper, Leora
Estimation of continuous-time models with an application to equity volatility dynamics.EconomicsBakshi, Gurdip, Nengjiu, Ju, Hui, Ou-Yang
Evidence on the effects of bank competition on firm borrowing and investment.EconomicsZarutskie, Rebecca
External finance constraints and the intertemporal pattern of intermittent investment.EconomicsWhited, Toni M.
Feedback and the success of irrational investors.EconomicsSubrahmanyam, Avanidhar, Titman, Sheridan, Hirshleifer, David
Financing decisions when managers are risk averse.EconomicsLewellen, Katharina
Flights of fancy: corporate jets, CEO perquisites, and inferior shareholder returns.(chief executive officer)EconomicsYermack, David
Hedging, speculation, and shareholder value.EconomicsFernando, Chitru S., Adam, Tim R.
How do family ownership, control and management affect firm value?EconomicsVillalonga, Belen, Amit, Raphael
Investing in mutual funds when returns are predictable.EconomicsAvramov, Doron, Wermers, Russ
Investor attention, overconfidence and category learning.EconomicsPenga, Lin, Xiongb, Wei
IPOs, acquisitions, and the use of convertible securities in venture capital.(initial public offerings)EconomicsHellmann, Thomas
Leverage and investment in diversified firms.EconomicsDenis, David J., Denis, Diane K., Ahn, Seoungpil
Liquidity needs and vulnerability to financial underdevelopment.EconomicsRaddatz, Claudio
Managerial incentives and risk-taking.EconomicsColes, Jeffrey L., Daniel, Naveen D., Naveen, Lalitha
Market transparency, liquidity externalities, and institutional trading costs in corporate bonds.EconomicsVenkataraman, Kumar, Bessembinder, Hendrik, Maxwell, William
Momentum and post-earnings-announcement drift anomalies: the role of liquidity risk.EconomicsSadka, Ronnie
NBER Conference on corporate alliances.(National Bureau of Economic Research, United States)EconomicsRajan, Raghuram, Lerner, Josh
On the marketing of IPOs.EconomicsVan Ness, Robert A., Cook, Douglas O., Kieschnick, Robert
On the role of arbitrageurs in rational markets.EconomicsBasaka, Suleyman, Croitoru, Benjamin
Output and expected returns.(stock market, United States and G-7)EconomicsRangvid, Jesper
Own company stock in defined contribution pension plans: a takeover defense?EconomicsRauh, Joshua D.
Partial adjustment toward target capital structures.EconomicsFlannery, Mark J., Rangan, Kasturi P.
Political relationships, global financing, and corporate transparency: evidence from Indonesia.EconomicsLeuz, Christian, Oberholzer-Gee, Felix
Predicting stock returns.EconomicsChordia, Tarun, Avramov, Doron
Profitability, investment and average returns.EconomicsFama, Eugene F., French, Kenneth R.
R2 around the world: new theory and new tests.EconomicsMyers, Stewart C., Jin, Li
Ripples through markets: Inter-market impacts generated by large trades.EconomicsEllul, Andrew
Separating microstructure noise from volatility.EconomicsBandi, Federico M., Russell, Jeffrey R.
Shareholder wealth effects and bid negotiation in freeze-out deals: are minority shareholders left out in the cold?EconomicsLemmon, Michael L., Bates, Thomas W., Linck, James S.
Should business groups be dismantled? the equilibrium costs of efficient internal capital markets.EconomicsAlmeidaa, Heitor, Wolfenzona, Daniel
Should corporate debt include a rating trigger?EconomicsMello, Antonio S., Bhanota, Karan
Stock market liberalization and operating performance at the firm level.EconomicsMitton, Todd
Stock price reaction to public and private information.EconomicsVega, Clara
Stock price synchronicity and analyst coverage in emerging markets.EconomicsChan, Kalok, Hameed, Allaudeen
Stock returns, aggregate earnings surprises, and behavioral finance.EconomicsKothari, S.P., Warner, Jerold B., Lewellen, Jonathan
Strategic alliances, equity stakes, and entry deterrence.EconomicsMathews, Richmond D.
Strength of analyst coverage following IPOs.EconomicsJames, Christopher, Karceski, Jason
Tax management strategies with multiple risky assets.EconomicsKaniel, Ron, Tompaidis, Stathis, Gallmeyer, Michael F.
Tax shelters and corporate debt policy.EconomicsGraham, John R., Tucker, Alan L.
Term structure estimation without using latent factors.EconomicsDuffee, Gregory R.
The American keiretsu and universal banks: Investing, voting and sitting on nonfinancialsE corporate boards.(controlling trust businesses through corporate boards )EconomicsSantos, Joao A.C., Rumble, Adrienne S.
The conditional CAPM does not explain asset-pricing anomalies.(capital asset pricing model)EconomicsLewellen, Jonathan, Nagel, Stefan
The economic consequences of increased disclosure: evidence from international cross-listings.EconomicsBailey, Warren, Karolyi, G. Andrew, Salva, Carolina
The impact of performance-based compensation on misreporting.EconomicsBurnsa, Natasha, Kediab, Simi
The impact of regulation on market risk.EconomicsGrout, Paul A., Zalewska, Anna
The irrelevance of the MM dividend irrelevance theorem.(Miller and Modigliani)EconomicsDeAngelo, Harry, DeAngelo, Linda
The new financial thing: the origins of financial innovations.EconomicsLerner, Josh
The other January effect.(prediction of market returns)EconomicsMcConnell, John J., Ovtchinnikov, Alexei V., Cooper, Michael J.
The outsourcing of R&D through acquisitions in the pharmaceutical industry.(research and development )EconomicsRodriguez, Daniel, Higgins, Matthew J.
The strategy of professional forecasting.EconomicsOttaviani, Marco, Sorensen, Peter Norman
The value of tax shields IS equal to the present value of tax shields.EconomicsCooper, Ian A., Nyborg, Kjell G.
Tunneling, propping, and expropriation: evidence from connected party transactions in Hong Kong.EconomicsCheung, Yan-Leung, Rau, P. Raghavendra, Stouraitis, Aris
Volatility in an era of reduced uncertainty: lessons from Pax Britannica.EconomicsBrown, William O., Burdekin, Richard C.K., Weidenmier, Marc D.
Was there a Nasdaq bubble in the late 1990s?EconomicsVeronesi, Pietro, Pastor, Lubos
Who herds?(earnings forecasting)EconomicsBernhardt, Dan, Campello, Murillo, Kutsoati, Edward
Who trades IPOs? A close look at the first days of trading.(initial public offerings)EconomicsEllis, Katrina
Why are European IPOs so rarely priced outside the indicative price range?(initial public offering)EconomicsWilhelm, William J., Jr., Morrison, Alan D., Jenkinson, Tim
World markets for raising new capital.EconomicsJegadeesh, Narasimhan, Weisbach, Michael S., Henderson, Brian J.
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