2014
Journal of Finance¶
- A Mean-Variance Benchmark for Intertemporal Portfolio Theory, 2014, John H. Cochrane
- A Pyrrhic Victory? Bank Bailouts and Sovereign Credit Risk, 2014, Viral Acharya; Itamar Drechsler; Philipp Schnabl
- A Theory of Debt Maturity: The Long and Short of Debt Overhang, 2014, Douglas W. Diamond; Zhiguo He
- Agency Conflicts and Cash: Estimates from a Dynamic Model, 2014, Boris Nikolov; Toni M. Whited
- Alpha and Performance Measurement: The Effects of Investor Disagreement and Heterogeneity, 2014, Wayne Ferson; Jerchern Lin
- An Anatomy of Commodity Futures Risk Premia, 2014, Rob Goorbergh; Theo Nijman; Frans Roon; Marta Szymanowska
- Are Analysts’ Recommendations Informative? Intraday Evidence on the Impact of Time Stamp Delays, 2014, Daniel Bradley; Jonathan Clarke; Suzanne Lee; Chayawat Ornthanalai
- Asset Pricing with Dynamic Margin Constraints, 2014, Oleg Rytchkov
- Biased Beliefs, Asset Prices, and Investment: A Structural Approach, 2014, Aydoğan Alti; Paul C. Tetlock
- Broad-Based Employee Stock Ownership: Motives and Outcomes, 2014, E. Han Kim; Paige Ouimet
- CEO Ownership, Stock Market Performance, and Managerial Discretion, 2014, Ulf Von Lilienfeld-Toal; Stefan Ruenzi
- Connected Stocks, 2014, Miguel Antón; Christopher Polk
- Corporate Innovations and Mergers and Acquisitions, 2014, Jan Bena; Kai Li
- Do Peer Firms Affect Corporate Financial Policy?, 2014, Mark T. Leary; Michael R. Roberts
- Does Stock Liquidity Enhance or Impede Firm Innovation?, 2014, Vivian W. Fang; Xuan Tian; Sheri Tice
- Duration of Executive Compensation, 2014, Radhakrishnan Gopalan; Todd Milbourn; Fenghua Song; Anjan V. Thakor
- Financial Intermediaries and the Cross-Section of Asset Returns, 2014, Tobias Adrian; Erkko Etula; Tyler Muir
- Financial Protectionism? First Evidence, 2014, Andrew K. Rose; Tomasz Wieladek
- Growth Opportunities, Technology Shocks, and Asset Prices, 2014, Leonid Kogan; Dimitris Papanikolaou
- Have Rating Agencies Become More Conservative? Implications for Capital Structure and Debt Pricing, 2014, Ramin P. Baghai; Henri Servaes; Ane Tamayo
- Incentives and Endogenous Risk Taking: A Structural View on Hedge Fund Alphas, 2014, Andrea Buraschi; Robert Kosowski; Worrawat Sritrakul
- Informed Trading through the Accounts of Children, 2014, Henk Berkman; Paul D. Koch; P. Joakim Westerholm
- Investment-Based Corporate Bond Pricing, 2014, Lars-Alexander Kuehn; Lukas Schmid
- Labor Mobility: Implications for Asset Pricing, 2014, Andrés Donangelo
- Legal Investor Protection and Takeovers, 2014, Mike Burkart; Denis Gromb; Holger M. Mueller; Fausto Panunzi
- Liquidity Measurement Problems in Fast, Competitive Markets: Expensive and Cheap Solutions, 2014, Craig W. Holden; Stacey Jacobsen
- Managerial Incentives and Stock Price Manipulation, 2014, Lin Peng; Ailsa Röell
- Measuring Readability in Financial Disclosures, 2014, Tim Loughran; Bill Mcdonald
- Merger Negotiations with Stock Market Feedback, 2014, Sandra Betton; B. Espen Eckbo; Rex Thompson; Karin S. Thorburn
- Mergers and Acquisitions Accounting and the Diversification Discount, 2014, Cláudia Custódio
- Minutes of the 2014 Annual Membership Meeting, 2014, Jim Schallheim
- Mutual Fund Performance and the Incentive to Generate Alpha, 2014, Diane Del Guercio; Jonathan Reuter
- Presidential Address: Investment Noise and Trends, 2014, Robert F. Stambaugh
- Private Equity Performance: What Do We Know?, 2014, Robert S. Harris; Tim Jenkinson; Steven N. Kaplan
- Product Market Threats, Payouts, and Financial Flexibility, 2014, Gerard Hoberg; Gordon Phillips; Nagpurnanand Prabhala
- Refinancing Risk and Cash Holdings, 2014, Jarrad Harford; Sandy Klasa; William F. Maxwell
- Repo Runs: Evidence from the Tri-Party Repo Market, 2014, Adam Copeland; Antoine Martin; Michael Walker
- Report of the Editor of the Journal of Finance for the Year 2013, 2014, Kenneth J. Singleton
- Report of the Executive Secretary and Treasurer, 2014, Jim Schallheim
- Rise of the Machines: Algorithmic Trading in the Foreign Exchange Market, 2014, Alain P. Chaboud; Benjamin Chiquoine; Erik Hjalmarsson; Clara Vega
- Risk Premiums in Dynamic Term Structure Models with Unspanned Macro Risks, 2014, Scott Joslin; Marcel Priebsch; Kenneth J. Singleton
- Securitization and Capital Structure in Nonfinancial Firms: An Empirical Investigation, 2014, Michael Lemmon; Laura Xiaolei Liu; Mike Qinghao Mao; Greg Nini
- Self-Fulfilling Liquidity Dry-Ups, 2014, Frederic Malherbe
- Sequential Learning, Predictability, and Optimal Portfolio Returns, 2014, Michael Johannes; Arthur Korteweg; Nicholas Polson
- Shaping Liquidity: On the Causal Effects of Voluntary Disclosure, 2014, Karthik Balakrishnan; Mary Brooke Billings; Bryan Kelly; Alexander Ljungqvist
- Sizing Up Repo, 2014, Arvind Krishnamurthy; Stefan Nagel; Dmitry Orlov
- Skin in the Game and Moral Hazard, 2014, Gilles Chemla; Christopher A. Hennessy
- Sources of Entropy in Representative Agent Models, 2014, David Backus; Mikhail Chernov; Stanley Zin
- Sovereign Default, Domestic Banks, and Financial Institutions, 2014, Nicola Gennaioli; Alberto Martin; Stefano Rossi
- Stock Options as Lotteries, 2014, Brian H. Boyer; Keith Vorkink
- Strategic Asset Allocation in Money Management, 2014, Suleyman Basak; Dmitry Makarov
- Strategic and Financial Bidders in Takeover Auctions, 2014, Alexander S. Gorbenko; Andrey Malenko
- The Business Cycle, Investor Sentiment, and Costly External Finance, 2014, R. David Mclean; Mengxin Zhao
- The Cross-Section of Credit Risk Premia and Equity Returns, 2014, Nils Friewald; Christian Wagner; Josef Zechner
- The Cross-Section of Managerial Ability, Incentives, and Risk Preferences, 2014, Ralph S.J. Koijen
- The Executive Turnover Risk Premium, 2014, Florian S. Peters; Alexander F. Wagner
- The Global Crisis and Equity Market Contagion, 2014, Geert Bekaert; Michael Ehrmann; Marcel Fratzscher; Arnaud Mehl
- The Importance of Industry Links in Merger Waves, 2014, Kenneth R. Ahern; Jarrad Harford
- The Joint Cross Section of Stocks and Options, 2014, Byeong-Je An; Andrew Ang; Turan G. Bali; Nusret Cakici
- The Market Value of Corporate Votes: Theory and Evidence from Option Prices, 2014, Avner Kalay; Oǧuzhan Karakaş; Shagun Pant
- The Media and the Diffusion of Information in Financial Markets: Evidence from Newspaper Strikes, 2014, Joel Peress
- The Real Effects of Government-Owned Banks: Evidence from an Emerging Market, 2014, Daniel Carvalho
- The Real Impact of Improved Access to Finance: Evidence from Mexico, 2014, Miriam Bruhn; Inessa Love
- The Real Product Market Impact of Mergers, 2014, Albert Sheen
- The TIPS-Treasury Bond Puzzle, 2014, Matthias Fleckenstein; Francis A. Longstaff; Hanno Lustig
- Thirty Years of Shareholder Rights and Firm Value, 2014, Martijn Cremers; Allen Ferrell
- Time-Varying Fund Manager Skill, 2014, Marcin Kacperczyk; Stijn Van Nieuwerburgh; Laura Veldkamp
- Twin Picks: Disentangling the Determinants of Risk-Taking in Household Portfolios, 2014, Laurent E. Calvet; Paolo Sodini
- Using Neural Data to Test a Theory of Investor Behavior: An Application to Realization Utility, 2014, Nicholas Barberis; Peter Bossaerts; Colin Camerer; Cary Frydman; Antonio Rangel
- Volatility, the Macroeconomy, and Asset Prices, 2014, Ravi Bansal; Dana Kiku; Ivan Shaliastovich; Amir Yaron
- What's Not There: Odd Lots and Market Data, 2014, Maureen O'Hara; Chen Yao; Mao Ye
- When Uncertainty Blows in the Orchard: Comovement and Equilibrium Volatility Risk Premia, 2014, Andrea Buraschi; Fabio Trojani; Andrea Vedolin
- Who Writes the News? Corporate Press Releases during Merger Negotiations, 2014, Kenneth R. Ahern; Denis Sosyura
- Why Do Firms Evade Taxes? The Role of Information Sharing and Financial Sector Outreach, 2014, Thorsten Beck; Chen Lin; Yue Ma
Journal of Financial Economics¶
- A dynamic limit order market with fast and slow traders, 2014, Peter Hoffmann
- Access to management and the informativeness of analyst research, 2014, T. Clifton Green; Russell Jame; Stanimir Markov; Musa Subasi
- Accountability of independent directors: Evidence from firms subject to securities litigation, 2014, Francois Brochet; Suraj Srinivasan
- Acquirer-target social ties and merger outcomes, 2014, Joy Ishii; Yuhai Xuan
- Advancing the universality of quadrature methods to any underlying process for option pricing, 2014, Ding Chen; Hannu J. Härkönen; David P. Newton
- Are hedge fund managers systematically misreporting? Or not?, 2014, Philippe Jorion; Christopher Schwarz
- Are red or blue companies more likely to go green? Politics and corporate social responsibility, 2014, Alberta Di Giuli; Leonard Kostovetsky
- Asset pricing: A tale of two days, 2014, Pavel Savor; Mungo Wilson
- Beauty is in the eye of the beholder: The effect of corporate tax avoidance on the cost of bank loans, 2014, Iftekhar Hasan; Chun Keung (Stan) Hoi; Qiang Wu; Hao Zhang
- Betting against beta, 2014, Andrea Frazzini; Lasse Heje Pedersen
- Birds of a feather: Value implications of political alignment between top management and directors, 2014, Jongsub Lee; Kwang J. Lee; Nandu J. Nagarajan
- Board composition and CEO power, 2014, Tim Baldenius; Nahum Melumad; Xiaojing Meng
- Bond market access and investment, 2014, Jarrad Harford; Vahap B. Uysal
- CEO deal-making activities and compensation, 2014, Eliezer M. Fich; Laura T. Starks; Adam S. Yore
- CEO optimism and incentive compensation, 2014, Clemens A. Otto
- Can investor-paid credit rating agencies improve the information quality of issuer-paid rating agencies?, 2014, Han Xia
- China׳s secondary privatization: Perspectives from the Split-Share Structure Reform, 2014, Li Liao; Bibo Liu; Hao Wang
- Comovement and investment banking networks, 2014, Gustavo Grullon; Shane Underwood; James P. Weston
- Composition of wealth, conditioning information, and the cross-section of stock returns, 2014, Nikolai Roussanov
- Conditional risk premia in currency markets and other asset classes, 2014, Martin Lettau; Matteo Maggiori; Michael Weber
- Corporate distress and lobbying: Evidence from the Stimulus Act, 2014, Manuel Adelino; I. Serdar Dinc
- Countercyclical currency risk premia, 2014, Hanno Lustig; Nikolai Roussanov; Adrien Verdelhan
- Crash-neutral currency carry trades, 2014, Jakub W. Jurek
- Credit lines as monitored liquidity insurance: Theory and evidence, 2014, Viral Acharya; Heitor Almeida; Filippo Ippolito; Ander Perez
- Crises and confidence: Systemic banking crises and depositor behavior, 2014, Una Okonkwo Osili; Anna Paulson
- Death and jackpot: Why do individual investors hold overpriced stocks?, 2014, Jennifer Conrad; Nishad Kapadia; Yuhang Xing
- Debt covenant renegotiations and creditor control rights, 2014, David J. Denis; Jing Wang
- Did CDS trading improve the market for corporate bonds?, 2014, Sanjiv Das; Madhu Kalimipalli; Subhankar Nayak
- Did bank distress stifle innovation during the Great Depression?, 2014, Ramana Nanda; Tom Nicholas
- Did going public impair Moody׳s credit ratings?, 2014, Simi Kedia; Shivaram Rajgopal; Xing Zhou
- Disagreement and asset prices, 2014, Bruce I. Carlin; Francis A. Longstaff; Kyle Matoba
- Dispersion in beliefs among active mutual funds and the cross-section of stock returns, 2014, Hao Jiang; Zheng Sun
- Distracted directors: Does board busyness hurt shareholder value?, 2014, Antonio Falato; Dalida Kadyrzhanova; Ugur Lel
- Do independent directors cause improvements in firm transparency?, 2014, Christopher S. Armstrong; John E. Core; Wayne R. Guay
- Does PIN affect equity prices around the world?, 2014, Sandy Lai; Lilian Ng; Bohui Zhang
- Does option trading convey stock price information?, 2014, Jianfeng Hu
- Dynamic debt runs and financial fragility: Evidence from the 2007 ABCP crisis, 2014, Enrique Schroth; Gustavo A. Suarez; Lucian A. Taylor
- Dynamic risk management, 2014, Adriano A. Rampini; Amir Sufi; S. Viswanathan
- Elections, political competition and bank failure, 2014, Wai-Man Liu; Phong T.H. Ngo
- Fact or friction: Jumps at ultra high frequency, 2014, Kim Christensen; Roel C.A. Oomen; Mark Podolskij
- Fails-to-deliver, short selling, and market quality, 2014, Veljko Fotak; Vikas Raman; Pradeep K. Yadav
- Financial development and innovation: Cross-country evidence, 2014, Po-Hsuan Hsu; Xuan Tian; Yan Xu
- Financial expert CEOs: CEO׳s work experience and firm׳s financial policies, 2014, Cláudia Custódio; Daniel Metzger
- Firm boundaries matter: Evidence from conglomerates and R&D activity, 2014, Amit Seru
- Forecasting stock returns under economic constraints, 2014, Davide Pettenuzzo; Allan Timmermann; Rossen Valkanov
- Freedom of choice between unitary and two-tier boards: An empirical analysis, 2014, François Belot; Edith Ginglinger; Myron B. Slovin; Marie E. Sushka
- Fund Manager Allocation, 2014, Jieyan Fang; Alexander Kempf; Monika Trapp
- Government policy and ownership of equity securities, 2014, Kristian Rydqvist; Joshua Spizman; Ilya Strebulaev
- Income hedging and portfolio decisions, 2014, Yosef Bonaparte; George M. Korniotis; Alok Kumar
- Independent director incentives: Where do talented directors spend their limited time and energy?, 2014, Ronald W. Masulis; Shawn Mobbs
- Investment busts, reputation, and the temptation to blend in with the crowd, 2014, Steven R. Grenadier; Andrey Malenko; Ilya A. Strebulaev
- Learning from peers' stock prices and corporate investment, 2014, Thierry Foucault; Laurent Fresard
- Limited partner performance and the maturing of the private equity industry, 2014, Berk A. Sensoy; Yingdi Wang; Michael S. Weisbach
- Lévy jump risk: Evidence from options and returns, 2014, Chayawat Ornthanalai
- Macroeconomic effects of corporate default crisis: A long-term perspective, 2014, Kay Giesecke; Francis A. Longstaff; Stephen Schaefer; Ilya A. Strebulaev
- Macroeconomic risk and hedge fund returns, 2014, Turan G. Bali; Stephen J. Brown; Mustafa O. Caglayan
- Managerial risk taking incentives and corporate pension policy, 2014, Divya Anantharaman; Yong Gyu Lee
- Monetary policy regimes: Implications for the yield curve and bond pricing, 2014, Francesco Audrino; Kameliya Filipova; Enrico De Giorgi
- Money and liquidity in financial markets, 2014, Kjell G. Nyborg; Per Östberg
- Mortgage convexity, 2014, Samuel G. Hanson
- Motivating innovation in newly public firms, 2014, Nina Baranchuk; Robert Kieschnick; Rabih Moussawi
- Mutual fund performance evaluation with active peer benchmarks, 2014, David Hunter; Eugene Kandel; Shmuel Kandel; Russ Wermers
- Networks and productivity: Causal evidence from editor rotations, 2014, Jonathan Brogaard; Joseph Engelberg; Christopher A. Parsons
- News-driven return reversals: Liquidity provision ahead of earnings announcements, 2014, Eric C. So; Sean Wang
- On the systematic volatility of unpriced earnings, 2014, Timothy C. Johnson; Jaehoon Lee
- Overcoming limits of arbitrage: Theory and evidence, 2014, Johan Hombert; David Thesmar
- Performance evaluation with high moments and disaster risk, 2014, Ohad Kadan; Fang Liu
- Politicians and the IPO decision: The impact of impending political promotions on IPO activity in China, 2014, Joseph D. Piotroski; Tianyu Zhang
- Predatory lending and the subprime crisis, 2014, Sumit Agarwal; Gene Amromin; Itzhak Ben-David; Souphala Chomsisengphet; Douglas D. Evanoff
- Predicting anomaly performance with politics, the weather, global warming, sunspots, and the stars, 2014, Robert Novy-Marx
- Preemptive bidding, target resistance, and takeover premiums, 2014, Theodosios Dimopoulos; Stefano Sacchetto
- Price informativeness and stock return synchronicity: Evidence from the pricing of seasoned equity offerings, 2014, Kalok Chan; Yue-Cheong Chan
- Price pressures, 2014, Terrence Hendershott; Albert J. Menkveld
- Refinancing, profitability, and capital structure, 2014, András Danis; Daniel A. Rettl; Toni M. Whited
- Risk tolerance and entrepreneurship, 2014, Hans K. Hvide; Georgios A. Panos
- Safer ratios, riskier portfolios: Banks׳ response to government aid, 2014, Ran Duchin; Denis Sosyura
- Shareholder democracy in play: Career consequences of proxy contests, 2014, Vyacheslav Fos; Margarita Tsoutsoura
- Speculating on home improvements, 2014, Hyun-Soo Choi; Harrison Hong; Jose Scheinkman
- Stock market returns and annuitization, 2014, Alessandro Previtero
- Syndicated loan spreads and the composition of the syndicate, 2014, Jongha Lim; Bernadette A. Minton; Michael S. Weisbach
- Tailspotting: Identifying and profiting from CEO vacation trips, 2014, David Yermack
- The Idealized Electoral College voting mechanism and shareholder power, 2014, Edward D. Van Wesep
- The death of the deal: Are withdrawn acquisition deals informative of CEO quality?, 2014, Stacey Jacobsen
- The determinants of recovery rates in the US corporate bond market, 2014, Rainer Jankowitsch; Florian Nagler; Marti G. Subrahmanyam
- The euro and corporate financing before the crisis, 2014, Arturo Bris; Yrjö Koskinen; Mattias Nilsson
- The evolution of capital structure and operating performance after leveraged buyouts: Evidence from U.S. corporate tax returns, 2014, Jonathan B. Cohn; Lillian F. Mills; Erin M. Towery
- The genetics of investment biases, 2014, Henrik Cronqvist; Stephan Siegel
- The impact of central clearing on counterparty risk, liquidity, and trading: Evidence from the credit default swap market, 2014, Yee Cheng Loon; Zhaodong Ken Zhong
- The internal capital markets of business groups: Evidence from intra-group loans, 2014, David Buchuk; Francisco Urzúa I.; Borja Larrain; Francisco Muñoz
- The international transmission of bank capital requirements: Evidence from the UK, 2014, Shekhar Aiyar; Charles W. Calomiris; John Hooley; Yevgeniya Korniyenko; Tomasz Wieladek
- The long of it: Odds that investor sentiment spuriously predicts anomaly returns, 2014, Robert F. Stambaugh; Jianfeng Yu; Yu Yuan
- The price of skill: Performance evaluation by households, 2014, Alexi Savov
- The role of investment banker directors in M&A, 2014, Qianqian Huang; Feng Jiang; Erik Lie; Ke Yang
- The role of stock ownership by US members of Congress on the market for political favors, 2014, Ahmed Tahoun
- The value of diffusing information, 2014, Asaf Manela
- Time-changed Lévy LIBOR market model: Pricing and joint estimation of the cap surface and swaption cube, 2014, Markus Leippold; Jacob Strømberg
- Trading in derivatives when the underlying is scarce, 2014, Snehal Banerjee; Jeremy J. Graveline
- Trading networks and liquidity provision, 2014, Ethan Cohen-Cole; Andrei Kirilenko; Eleonora Patacchini
- Uncertainty, market structure, and liquidity, 2014, Kee H. Chung; Chairat Chuwonganant
- What do firms do when dividend tax rates change? An examination of alternative payout responses, 2014, Michelle Hanlon; Jeffrey L. Hoopes
- Who works for startups? The relation between firm age, employee age, and growth, 2014, Paige Ouimet; Rebecca Zarutskie
- Winners in the spotlight: Media coverage of fund holdings as a driver of flows, 2014, David H. Solomon; Eugene Soltes; Denis Sosyura
Review of Financial Studies¶
- Advance Disclosure of Insider Trading, 2014, Stephen L. Lenkey
- Aggregate Investment and Investor Sentiment, 2014, Salman Arif; Charles M. C. Lee
- Ambiguity Aversion and Asset Prices in Production Economies, 2014, Mohammad R. Jahan-Parvar; Hening Liu
- Asset Prices and Real Exchange Rates with Deep Habits, 2014, Christian Heyerdahl-Larsen
- Asset Prices with Heterogeneity in Preferences and Beliefs, 2014, Harjoat S. Bhamra; Raman Uppal
- Attracting Investor Attention through Advertising, 2014, Dong Lou
- Board Expertise: Do Directors from Related Industries Help Bridge the Information Gap?, 2014, Nishant Dass; Omesh Kini; Vikram Nanda; Bunyamin Onal; Jun Wang
- Bond Supply and Excess Bond Returns, 2014, Robin Greenwood; Dimitri Vayanos
- Cash-Flow Sensitivities and the Allocation of Internal Cash Flow, 2014, Xin Chang; Sudipto Dasgupta; George Wong; Jiaquan Yao
- Co-opted Boards, 2014, Jeffrey L. Coles; Naveen D. Daniel; Lalitha Naveen
- Collateral-Motivated Financial Innovation, 2014, Ji Shen; Hongjun Yan; Jinfan Zhang
- Common Errors: How to (and Not to) Control for Unobserved Heterogeneity, 2014, Todd A. Gormley; David A. Matsa
- Communication and Decision-Making in Corporate Boards, 2014, Nadya Malenko
- Complex Securities and Underwriter Reputation: Do Reputable Underwriters Produce Better Securities?, 2014, John Griffin; Richard Lowery; Alessio Saretto
- Corporate Venture Capital, Value Creation, and Innovation, 2014, Thomas J. Chemmanur; Elena Loutskina; Xuan Tian
- Debtholder Responses to Shareholder Activism: Evidence from Hedge Fund Interventions, 2014, Jayanthi Sunder; Shyam V. Sunder; Wan Wongsunwai
- Do Dark Pools Harm Price Discovery?, 2014, Haoxiang Zhu
- Do Going-Private Transactions Affect Plant Efficiency and Investment?, 2014, Sreedhar Bharath; Amy Dittmar; Jagadeesh Sivadasan
- Do Lenders Still Monitor When They Can Securitize Loans?, 2014, Yihui Wang; Han Xia
- Do Security Analysts Speak in Two Tongues?, 2014, Ulrike Malmendier; Devin Shanthikumar
- Does Media Coverage of Stocks Affect Mutual Funds' Trading and Performance?, 2014, Lily H. Fang; Joel Peress; Lu Zheng
- Does Stock Liquidity Affect Incentives to Monitor? Evidence from Corporate Takeovers, 2014, Peter Roosenboom; Frederik P. Schlingemann; Manuel Vasconcelos
- Does the Tail Wag the Dog?: The Effect of Credit Default Swaps on Credit Risk, 2014, Marti G. Subrahmanyam; Dragon Yongjun Tang; Sarah Qian Wang
- Editor's Choice Fooling Some of the People All of the Time: The Inefficient Performance and Persistence of Commodity Trading Advisors, 2014, Geetesh Bhardwaj; Gary B. Gorton; K. Geert Rouwenhorst
- Editor's Choice No News Is News: Do Markets Underreact to Nothing?, 2014, Stefano Giglio; Kelly Shue
- Editor's Choice Tail Risk and Asset Prices, 2014, Hao Jiang; Bryan Kelly
- Editor's Choice The Labor Market for Bankers and Regulators, 2014, Philip Bond; Vincent Glode
- Entrepreneurial Finance and Innovation: An Introduction and Agenda for Future Research, 2014, Thomas J. Chemmanur; Paolo Fulghieri
- Expectations of Returns and Expected Returns, 2014, Robin Greenwood; Andrei Shleifer
- Expected Returns and Dividend Growth Rates Implied by Derivative Markets, 2014, Benjamin Golez
- Financial Flexibility, Risk Management, and Payout Choice, 2014, Alice Adams Bonaimé; Kristine Watson Hankins; Jarrad Harford
- Financial Market Dislocations, 2014, Paolo Pasquariello
- Frictions in Shadow Banking: Evidence from the Lending Behavior of Money Market Mutual Funds, 2014, Sergey Chernenko; Adi Sunderam
- Frog in the Pan: Continuous Information and Momentum, 2014, Zhi Da; Umit G. Gurun; Mitch Warachka
- Guarantees, Leverage, and Taxes, 2014, Elisa Luciano; Giovanna Nicodano
- Heterogeneity and Stability: Bolster the Strong, Not the Weak, 2014, Dong Beom Choi
- High-Frequency Trading and Price Discovery, 2014, Jonathan Brogaard; Terrence Hendershott; Ryan Riordan
- Household Debt and Social Interactions, 2014, Dimitris Georgarakos; Michael Haliassos; Giacomo Pasini
- Illiquidity Contagion and Liquidity Crashes, 2014, Giovanni Cespa; Thierry Foucault
- In Harm's Way? Payday Loan Access and Military Personnel Performance, 2014, Scott Carrell; Jonathan Zinman
- Incentives to Innovate and the Decision to Go Public or Private, 2014, Daniel Ferreira; Gustavo Manso; André C. Silva
- Index Option Returns: Still Puzzling, 2014, Donald R. Chambers; Matthew Foy; Jeffrey Liebner; Qin Lu
- Informational Holdup and Performance Persistence in Venture Capital, 2014, Yael V. Hochberg; Alexander Ljungqvist; Annette Vissing-Jørgensen
- Interbank Liquidity Crunch and the Firm Credit Crunch: Evidence from the 2007--2009 Crisis, 2014, Rajkamal Iyer; José-Luis Peydró; Antoinette Schoar; Samuel Da-Rocha-Lopes
- Internal Capital Market and Dividend Policies: Evidence From Business Groups, 2014, Radhakrishnan Gopalan; Vikram Nanda; Amit Seru
- Investor Networks in the Stock Market, 2014, Recep Bildik; Han N. Ozsoylev; Johan Walden; M. Deniz Yavuz
- Investors' and Central Bank's Uncertainty Embedded in Index Options, 2014, Alexander David; Pietro Veronesi
- Learning from Stock Prices and Economic Growth, 2014, Joel Peress
- Limited and Varying Consumer Attention: Evidence from Shocks to the Salience of Bank Overdraft Fees, 2014, Victor Stango; Jonathan Zinman
- Liquidity Shocks and Stock Market Reactions, 2014, Turan G. Bali; Lin Peng; Yannan Shen; Yi Tang
- Media Makes Momentum, 2014, Alexander Hillert; Heiko Jacobs; Sebastian Müller
- Microprudential Regulation in a Dynamic Model of Banking, 2014, Andrea Gamba; Marcella Lucchetta; Gianni De Nicolò
- Misspecification-Robust Inference in Linear Asset-Pricing Models with Irrelevant Risk Factors, 2014, Nikolay Gospodinov; Raymond Kan; Cesare Robotti
- Money Left on the Table: An Analysis of Participation in Employee Stock Purchase Plans, 2014, Ilona Babenko; Rik Sen
- Mutual Funds and Information Diffusion: The Role of Country-Level Governance, 2014, Chunmei Lin; Massimo Massa; Hong Zhang
- Nationalism and Economic Exchange: Evidence from Shocks to Sino-Japanese Relations, 2014, Raymond Fisman; Yasushi Hamao; Yongxiang Wang
- Opacity in Financial Markets, 2014, Yuki Sato
- Opaque Trading, Disclosure, and Asset Prices: Implications for Hedge Fund Regulation, 2014, David Easley; Maureen O'Hara; Liyan Yang
- Optimal Portfolio Choice with Predictability in House Prices and Transaction Costs, 2014, Stefano Corradin; José L. Fillat; Carles Vergara-Alert
- Peer Effects in Risk Aversion and Trust, 2014, Kenneth R. Ahern; Ran Duchin; Tyler Shumway
- Preventing Zombie Lending, 2014, Max Bruche; Gerard Llobet
- Prior Client Performance and the Choice of Investment Bank Advisors in Corporate Acquisitions, 2014, John J. Mcconnell; Valeriy Sibilkov
- Procyclical Leverage and Value-at-Risk, 2014, Tobias Adrian; Hyun Song Shin
- Real Estate Prices and Firm Capital Structure, 2014, Dragana Cvijanović
- Real Option Financing Under Asymmetric Information, 2014, Matthieu Bouvard
- Referee Recommendations, 2014, Ivo Welch
- Repo Runs, 2014, Antoine Martin; David Skeie; Ernst-Ludwig Von Thadden
- Repossession and the Democratization of Credit, 2014, Juliano J. Assunção; Efraim Benmelech; Fernando S. S. Silva
- Resource Allocation within Firms and Financial Market Dislocation: Evidence from Diversified Conglomerates, 2014, Gregor Matvos; Amit Seru
- Risk Choice under High-Water Marks, 2014, Itamar Drechsler
- Securitization and Loan Performance: Ex Ante and Ex Post Relations in the Mortgage Market, 2014, Wei Jiang; Ashlyn Aiko Nelson; Edward Vytlacil
- Smart Money? The Effect of Education on Financial Outcomes, 2014, Shawn Cole; Anna Paulson; Gauri Kartini Shastry
- Speculation and Hedging in Segmented Markets, 2014, Itay Goldstein; Yan Li; Liyan Yang
- Stock Return Serial Dependence and Out-of-Sample Portfolio Performance, 2014, Victor Demiguel; Francisco J. Nogales; Raman Uppal
- Strategic Complementarity, Fragility, and Regulation, 2014, Xavier Vives
- The Capital Structure Decisions of New Firms, 2014, Alicia M. Robb; David T. Robinson
- The Consequences of Entrepreneurial Finance: Evidence from Angel Financings, 2014, William R. Kerr; Josh Lerner; Antoinette Schoar
- The Economics of Solicited and Unsolicited Credit Ratings, 2014, Paolo Fulghieri; Günter Strobl; Han Xia
- The Growth and Limits of Arbitrage: Evidence from Short Interest, 2014, Samuel G. Hanson; Adi Sunderam
- The Ownership of Japanese Corporations in the 20th Century, 2014, Julian Franks; Colin Mayer; Hideaki Miyajima
- The Swaption Cube, 2014, Eduardo S. Schwartz; Anders B. Trolle
- The Variety of Maturities Offered by Firms and Institutional Investment in Corporate Bonds, 2014, Nishant Dass; Massimo Massa
- The Year-End Trading Activities of Institutional Investors: Evidence from Daily Trades, 2014, Gang Hu; R. David Mclean; Jeffrey Pontiff; Qinghai Wang
- Tolerance for Failure and Corporate Innovation, 2014, Xuan Tian; Tracy Yue Wang
- Trading for Status, 2014, Harrison Hong; Wenxi Jiang; Na Wang; Bin Zhao
- Valuing Private Equity, 2014, Morten Sorensen; Neng Wang; Jinqiang Yang
- Venture Capitalists on Boards of Mature Public Firms, 2014, Ugur Celikyurt; Merih Sevilir; Anil Shivdasani
- What Happens in Nevada? Self-Selecting into Lax Law, 2014, Michal Barzuza; David C. Smith
- When There Is No Place to Hide: Correlation Risk and the Cross-Section of Hedge Fund Returns, 2014, Andrea Buraschi; Robert Kosowski; Fabio Trojani
- Why Did Holdings of Highly Rated Securitization Tranches Differ So Much across Banks?, 2014, Isil Erel; Taylor Nadauld; René M. Stulz
- Window Dressing in Mutual Funds, 2014, Vikas Agarwal; Gerald D. Gay; Leng Ling
- Wisdom of Crowds: The Value of Stock Opinions Transmitted Through Social Media, 2014, Hailiang Chen; Prabuddha De; Yu (Jeffrey) Hu; Byoung-Hyoun Hwang
- Wrongful Discharge Laws and Innovation, 2014, Viral V. Acharya; Ramin P. Baghai; Krishnamurthy V. Subramanian