| The Cost of Political Connections |
27 |
| Are US Industries Becoming More Concentrated? |
27 |
| Oil Prices and the Stock Market |
23 |
| ECB Policies Involving Government Bond Purchases: Impact and Channels |
18 |
| Financial Repression in the European Sovereign Debt Crisis |
17 |
| Emotional State and Market Behavior |
11 |
| Which Factors? |
10 |
| The Personal Wealth Interests of Politicians and Government Intervention in the Economy |
10 |
| Dynamic Dependence and Diversification in Corporate Credit |
10 |
| Tournament Incentives and Firm Innovation |
8 |
| Corporate Bond Trading on a Limit Order Book Exchange |
7 |
| Futures Trading and the Excess Co-movement of Commodity Prices |
7 |
| Does Independent Directors' CEO Experience Matter? |
7 |
| Political Borders and Bank Lending in Post-Crisis America |
6 |
| Media Coverage and Stock Returns on the London Stock Exchange, 1825-70 |
6 |
| Zero-Leverage Puzzle: An International Comparison |
6 |
| Corporate Credit Risk Premia |
6 |
| Governance under the Gun: Spillover Effects of Hedge Fund Activism |
5 |
| How Do Banks React to Catastrophic Events? Evidence from Hurricane Katrina |
5 |
| Leverage, CEO Risk-Taking Incentives, and Bank Failure during the 2007-10 Financial Crisis |
5 |
| Complex Mortgages |
5 |
| Mind the Gap: Disentangling Credit and Liquidity in Risk Spreads |
5 |
| Is There a Distress Risk Anomaly? Pricing of Systematic Default Risk in the Cross-section of Equity Returns |
5 |
| Can Socially Responsible Firms Survive Competition? An Analysis of Corporate Employee Matching Grant Schemes |
4 |
| The Effects of Horizontal Merger Operating Efficiencies on Rivals, Customers, and Suppliers |
4 |
| A Theory of Costly Sequential Bidding |
4 |
| Indirect Costs of Financial Distress and Bankruptcy Law: Evidence from Trade Credit and Sales |
4 |
| Liquidity Flows in Interbank Networks |
4 |
| Monetary Policy, Bank Bailouts and the Sovereign-Bank Risk Nexus in the Euro Area |
4 |
| Wages and Human Capital in Finance: International Evidence, 1970-2011 |
4 |
| Risk-Based Capital Requirements and Optimal Liquidation in a Stress Scenario |
4 |
| Labor and Capital Dynamics under Financing Frictions |
3 |
| Trust and Household Debt |
3 |
| Option Listing and Information Asymmetry |
3 |
| Do Credit Default Swaps Mitigate the Impact of Credit Rating Downgrades? |
3 |
| The Credit Card Debt Puzzle and Noncognitive Ability |
3 |
| Financial Disclosure and Market Transparency with Costly Information Processing |
3 |
| Growth Option Exercise and Capital Structure |
3 |
| Labor Representation in Governance as an Insurance Mechanism |
3 |
| Skewness, Individual Investor Preference, and the Cross-section of Stock Returns |
3 |
| Housing Habits and Their Implications for Life-Cycle Consumption and Investment |
3 |
| Monetary Policy Spillovers and Currency Networks in Cross-Border Bank Lending: Lessons from the 2013 Fed Taper Tantrum |
3 |
| Do FOMC Actions Speak Loudly? Evidence from Corporate Bond Credit Spreads |
2 |
| Combination Return Forecasts and Portfolio Allocation with the Cross-Section of Book-to-Market Ratios |
2 |
| Do Exposures to Sagging Real Estate, Subprime, or Conduits Abroad Lead to Contraction and Flight to Quality in Bank Lending at Home? |
2 |
| The Capital Structure of Nations |
2 |
| Financing Asset Sales and Business Cycles |
2 |
| Risk Premia and Volatilities in a Nonlinear Term Structure Model |
2 |
| Asset Growth and Stock Market Returns: A Time-Series Analysis |
2 |
| The Transmission of Bank Liquidity Shocks: Evidence from House Prices |
2 |