2015
Journal of Finance¶
- A Comparative-Advantage Approach to Government Debt Maturity, 2015, Robin Greenwood; Samuel G. Hanson; Jeremy C. Stein
- A Crisis of Banks as Liquidity Providers, 2015, Viral V. Acharya; Nada Mora
- A Model of Mortgage Default, 2015, John Y. Campbell; João F. Cocco
- Agency Conflicts, Investment, and Asset Pricing: Erratum, 2015, Rui Albuquerue; Neng Wang
- Aggregate Jump and Volatility Risk in the Cross-Section of Stock Returns, 2015, Martijn Cremers; Michael Halling; David Weinbaum
- Anchoring on Credit Spreads, 2015, Casey Dougal; Joseph Engelberg; Christopher A. Parsons; Edward D. Van Wesep
- Arbitrage Asymmetry and the Idiosyncratic Volatility Puzzle, 2015, Robert F. Stambaugh; Jianfeng Yu; Yu Yuan
- Asset Quality Misrepresentation by Financial Intermediaries: Evidence from the RMBS Market, 2015, Tomasz Piskorski; Amit Seru; James Witkin
- Asymmetric Learning from Financial Information, 2015, Camelia M. Kuhnen
- Borrower Misreporting and Loan Performance, 2015, Mark J. Garmaise
- CEO Connectedness and Corporate Fraud, 2015, Vikramaditya Khanna; E. Han Kim; Yao Lu
- CEO Preferences and Acquisitions, 2015, Dirk Jenter; Katharina Lewellen
- CEO Turnover and Relative Performance Evaluation, 2015, Dirk Jenter; Fadi Kanaan
- Capital and Labor Reallocation within Firms, 2015, Xavier Giroud; Holger M. Mueller
- Change You Can Believe In? Hedge Fund Data Revisions, 2015, Andrew J. Patton; Tarun Ramadorai; Michael Streatfield
- Change You Can Believe In? Hedge Fund Data Revisions: Erratum, 2015, Andrew J. Patton; Tarun Ramadorai; Michael Streatfield
- Click or Call? Auction versus Search in the Over-the-Counter Market, 2015, Terrence Hendershott; Ananth Madhavan
- Corporate Taxes and Securitization, 2015, Joongho Han; Kwangwoo Park; George Pennacchi
- Defined Contribution Pension Plans: Sticky or Discerning Money?, 2015, Clemens Sialm; Laura T. Starks; Hanjiang Zhang
- Dividend Dynamics and the Term Structure of Dividend Strips, 2015, Frederico Belo; Pierre Collin-Dufresne; Robert S. Goldstein
- Do Acquisitions Relieve Target Firms’ Financial Constraints?, 2015, Isil Erel; Yeejin Jang; Michael S. Weisbach
- Do Prices Reveal the Presence of Informed Trading?, 2015, Pierre Collin-Dufresne; Vyacheslav Fos
- Does Going Public Affect Innovation?, 2015, Shai Bernstein
- Estimating Oil Risk Factors Using Information from Equity and Derivatives Markets, 2015, I-Hsuan Ethan Chiang; W. Keener Hughen; Jacob S. Sagi
- Foreclosures, House Prices, and the Real Economy, 2015, Atif Mian; Amir Sufi; Francesco Trebbi
- Government Intervention and Information Aggregation by Prices, 2015, Philip Bond; Itay Goldstein
- Hidden Liquidity: Some New Light on Dark Trading, 2015, Robert Bloomfield; Maureen O'Hara; Gideon Saar
- How Does Household Portfolio Diversification Vary with Financial Literacy and Financial Advice?, 2015, Hans-Martin Von Gaudecker
- How Stable Are Corporate Capital Structures?, 2015, Harry Deangelo; Richard Roll
- Incentivizing Calculated Risk-Taking: Evidence from an Experiment with Commercial Bank Loan Officers, 2015, Shawn Cole; Martin Kanz; Leora Klapper
- Inflation Risk in Corporate Bonds, 2015, Johnny Kang; Carolin E. Pflueger
- Information Diversity and Complementarities in Trading and Information Acquisition, 2015, Itay Goldstein; Liyan Yang
- Informational Frictions and Commodity Markets, 2015, Michael Sockin; Wei Xiong
- Innovation, Growth, and Asset Prices, 2015, Howard Kung; Lukas Schmid
- Internal Capital Markets in Business Groups: Evidence from the Asian Financial Crisis, 2015, Heitor Almeida; Chang‐Soo Kim; Hwanki Brian Kim
- Investment Decisions of Nonprofit Firms: Evidence from Hospitals, 2015, Manuel Adelino; Katharina Lewellen; Anant Sundaram
- Is Historical Cost Accounting a Panacea? Market Stress, Incentive Distortions, and Gains Trading, 2015, Andrew Ellul; Chotibhak Jotikasthira; Christian T. Lundblad; Yihui Wang
- Is a VC Partnership Greater Than the Sum of Its Partners?, 2015, Michael Ewens; Matthew Rhodes-Kropf
- Mandatory Portfolio Disclosure, Stock Liquidity, and Mutual Fund Performance, 2015, Vikas Agarwal; Kevin A. Mullally; Yuehua Tang; Baozhong Yang
- Market Making Contracts, Firm Value, and the IPO Decision, 2015, Hendrik Bessembinder; Jia Hao; Kuncheng Zheng
- Money Doctors, 2015, Nicola Gennaioli; Andrei Shleifer; Robert Vishny
- On the Design of Contingent Capital with a Market Trigger, 2015, Suresh Sundaresan; Zhenyu Wang
- Outsourcing in the International Mutual Fund Industry: An Equilibrium View, 2015, Oleg Chuprinin; Massimo Massa; David Schumacher
- Presidential Address: Does Finance Benefit Society?, 2015, Luigi Zingales
- Reaching for Yield in the Bond Market, 2015, Bo Becker; Victoria Ivashina
- Regulatory Arbitrage and Cross‐Border Bank Acquisitions, 2015, G. Andrew Karolyi; Alvaro G. Taboada
- Report of the Editor of the Journal of Finance for the Year 2014, 2015, Bruno Biais; Michael Roberts; Kenneth J. Singleton
- Rewarding Trading Skills without Inducing Gambling, 2015, Igor Makarov; Guillaume Plantin
- Risk Overhang and Loan Portfolio Decisions: Small Business Loan Supply before and during the Financial Crisis, 2015, Robert Deyoung; Anne Gron; Gӧkhan Torna; Andrew Winton
- Short-Term Debt as Bridge Financing: Evidence from the Commercial Paper Market, 2015, Matthias Kahl; Anil Shivdasani; Yihui Wang
- Should Derivatives Be Privileged in Bankruptcy?, 2015, Patrick Bolton; Martin Oehmke
- Size Anomalies in U.S. Bank Stock Returns, 2015, Priyank Gandhi; Hanno Lustig
- Subprime Mortgage Defaults and Credit Default Swaps, 2015, Eric Arentsen; David C. Mauer; Brian Rosenlund; Harold H. Zhang; Feng Zhao
- Subsidizing Liquidity: The Impact of Make/Take Fees on Market Quality, 2015, Katya Malinova; Andreas Park
- Taking the Long Way Home: U.S. Tax Evasion and Offshore Investments in U.S. Equity and Debt Markets, 2015, Michelle Hanlon; Edward L. Maydew; Jacob R. Thornock
- Taxes and Corporate Policies: Evidence from a Quasi Natural Experiment, 2015, Craig Doidge; Alexander Dyck
- The Beauty Contest and Short-Term Trading, 2015, Giovanni Cespa; Xavier Vives
- The Brain Gain of Corporate Boards: Evidence from China, 2015, Mariassunta Giannetti; Guanmin Liao; Xiaoyun Yu
- The Cost of Capital for Alternative Investments, 2015, Jakub W. Jurek; Erik Stafford
- The Effect of Providing Peer Information on Retirement Savings Decisions, 2015, John Beshears; James J. Choi; David Laibson; Brigitte C. Madrian; Katherine L. Milkman
- The Effect of Succession Taxes on Family Firm Investment: Evidence from a Natural Experiment, 2015, Margarita Tsoutsoura
- The Impact of Incentives and Communication Costs on Information Production and Use: Evidence from Bank Lending, 2015, Jun (Qj) Qian; Philip E. Strahan; Zhishu Yang
- The People in Your Neighborhood: Social Interactions and Mutual Fund Portfolios, 2015, Veronika K. Pool; Noah Stoffman; Scott E. Yonker
- The Pre-FOMC Announcement Drift, 2015, David O. Lucca; Emanuel Moench
- The Recovery Theorem, 2015, Steve Ross
- The Role of Institutional Investors in Voting: Evidence from the Securities Lending Market, 2015, Reena Aggarwal; Pedro A. C. Saffi; Jason Sturgess
- The Role of Institutional Investors in Voting: Evidence from the Securities Lending Market: Erratum, 2015, Reena Aggarwal; Pedro A. C. Saffi; Jason Sturgess
- The Value of Control and the Costs of Illiquidity, 2015, Rui Albuquerque; Enrique Schroth
- The Value of Control and the Costs of Illiquidity: Erratum, 2015, Rui Albuquerque; Enrique Schroth
- The WACC Fallacy: The Real Effects of Using a Unique Discount Rate, 2015, Philipp Krüger; Augustin Landier; David Thesmar
- The Wall Street Walk when Blockholders Compete for Flows, 2015, Amil Dasgupta; Giorgia Piacentino
- Transparency in the Financial System: Rollover Risk and Crises, 2015, Matthieu Bouvard; Pierre Chaigneau; Adolfo De Motta
- Urban Vibrancy and Corporate Growth, 2015, Casey Dougal; Christopher A. Parsons; Sheridan Titman
- Wall Street Occupations, 2015, Ulf Axelson; Philip Bond
- Yesterday's Heroes: Compensation and Risk at Financial Firms, 2015, Ing-Haw Cheng; Harrison Hong; José A. Scheinkman
Journal of Financial Economics¶
- A century of capital structure: The leveraging of corporate America, 2015, John R. Graham; Mark T. Leary; Michael R. Roberts
- A five-factor asset pricing model, 2015, Eugene F. Fama; Kenneth R. French
- A theory of LBO activity based on repeated debt-equity conflicts, 2015, Andrey Malenko; Nadya Malenko
- A theory of risk capital, 2015, Isil Erel; Stewart C. Myers; James A. Read
- Are institutions informed about news?, 2015, Terrence Hendershott; Dmitry Livdan; Norman Schürhoff
- As certain as debt and taxes: Estimating the tax sensitivity of leverage from state tax changes, 2015, Florian Heider; Alexander Ljungqvist
- Asset pricing with arbitrage activity, 2015, Julien Hugonnier; Rodolfo Prieto
- Asymmetric decrease in liquidity trading before earnings announcements and the announcement return premium, 2015, Shai Levi; Xiao-Jun Zhang
- Attentive insider trading, 2015, Dallin M. Alldredge; David C. Cicero
- Bank loans and troubled debt restructurings, 2015, Cem Demiroglu; Christopher James
- Banks as patient fixed-income investors, 2015, Samuel G. Hanson; Andrei Shleifer; Jeremy C. Stein; Robert W. Vishny
- Banks׳ liability structure and mortgage lending during the financial crisis, 2015, Jihad Dagher; Kazim Kazimov
- CEO network centrality and merger performance, 2015, Rwan El-Khatib; Kathy Fogel; Tomas Jandik
- Callable bonds, reinvestment risk, and credit rating improvements: Role of the call premium, 2015, Anthony Byrd; Pradipkumar Ramanlal; Manish Tewari
- Can managers time the market? Evidence using repurchase price data, 2015, Amy Dittmar; Laura Casares Field
- Capital allocation and delegation of decision-making authority within firms, 2015, John R. Graham; Campbell R. Harvey; Manju Puri
- Central clearing and collateral demand, 2015, Darrell Duffie; Martin Scheicher; Guillaume Vuillemey
- Commonality in news around the world, 2015, Tung Lam Dang; Fariborz Moshirian; Bohui Zhang
- Competition of the informed: Does the presence of short sellers affect insider selling?, 2015, Massimo Massa; Wenlan Qian; Weibiao Xu; Hong Zhang
- Contractual incompleteness, limited liability and asset price bubbles, 2015, James Dow; Jungsuk Han
- Corporate goodness and shareholder wealth, 2015, Philipp Krüger
- Corporate payout, cash retention, and the supply of credit: Evidence from the 2008–2009 credit crisis, 2015, Barbara A. Bliss; Yingmei Cheng; David J. Denis
- Costs and benefits of friendly boards during mergers and acquisitions, 2015, Breno Schmidt
- Culture and R2, 2015, Cheol S. Eun; Lingling Wang; Steven C. Xiao
- Dark trading and price discovery, 2015, Carole Comerton-Forde; Tālis J. Putniņš
- Debt, labor markets, and the creation and destruction of firms, 2015, Andres Almazan; Adolfo De Motta; Sheridan Titman
- Deflating profitability, 2015, Ray Ball; Joseph Gerakos; Juhani T. Linnainmaa; Valeri V. Nikolaev
- Deposits and bank capital structure, 2015, Franklin Allen; Elena Carletti; Robert Marquez
- Discount window stigma during the 2007–2008 financial crisis, 2015, Olivier Armantier; Eric Ghysels; Asani Sarkar; Jeffrey Shrader
- Distilling the macroeconomic news flow, 2015, Alessandro Beber; Michael W. Brandt; Maurizio Luisi
- Do analysts matter for governance? Evidence from natural experiments, 2015, Tao Chen; Jarrad Harford; Chen Lin
- Do investors overpay for stocks with lottery-like payoffs? An examination of the returns of OTC stocks, 2015, Bjørn Eraker; Mark Ready
- Do property rights matter? Evidence from a property law enactment, 2015, Daniel Berkowitz; Chen Lin; Yue Ma
- Does ambiguity matter? Estimating asset pricing models with a multiple-priors recursive utility, 2015, Daehee Jeong; Hwagyun Kim; Joon Y. Park
- Does banking competition affect innovation?, 2015, Jess Cornaggia; Yifei Mao; Xuan Tian; Brian Wolfe
- Does realized skewness predict the cross-section of equity returns?, 2015, Diego Amaya; Peter Christoffersen; Kris Jacobs; Aurelio Vasquez
- Empirical determinants of intertemporal choice, 2015, Jeffrey R. Brown; Zoran Ivković; Scott Weisbenner
- Employee rights and acquisitions, 2015, Kose John; Anzhela Knyazeva; Diana Knyazeva
- End-of-the-year economic growth and time-varying expected returns, 2015, Stig V. Møller; Jesper Rangvid
- Equilibrium fast trading, 2015, Bruno Biais; Thierry Foucault; Sophie Moinas
- Excess control rights, bank capital structure adjustments, and lending, 2015, Laetitia Lepetit; Nadia Saghi-Zedek; Amine Tarazi
- Executives' “off-the-job” behavior, corporate culture, and financial reporting risk, 2015, Robert Davidson; Aiyesha Dey; Abbie Smith
- Extraordinary acquirers, 2015, Andrey Golubov; Alfred Yawson; Huizhong Zhang
- Female leadership and gender equity: Evidence from plant closure, 2015, Geoffrey Tate; Liu Yang
- Financial integration, housing, and economic volatility, 2015, Elena Loutskina; Philip E. Strahan
- Financing bidders in takeover contests, 2015, Vladimir Vladimirov
- Foreign corporations and the culture of transparency: Evidence from Russian administrative data, 2015, Serguey Braguinsky; Sergey Mityakov
- Friends or foes? The interrelationship between angel and venture capital markets, 2015, Thomas Hellmann; Veikko Thiele
- Fund managers under pressure: Rationale and determinants of secondary buyouts, 2015, Sridhar Arcot; Zsuzsanna Fluck; José-Miguel Gaspar; Ulrich Hege
- Generalized risk premia, 2015, Paul Schneider
- Good and bad uncertainty: Macroeconomic and financial market implications, 2015, Gill Segal; Ivan Shaliastovich; Amir Yaron
- Government ownership and the cost of debt: Evidence from government investments in publicly traded firms, 2015, Ginka Borisova; Veljko Fotak; Kateryna Holland; William L. Megginson
- Hedge funds and discretionary liquidity restrictions, 2015, Adam L. Aiken; Christopher P. Clifford; Jesse A. Ellis
- High frequency market microstructure, 2015, Maureen O’Hara
- High-frequency quoting, trading, and the efficiency of prices, 2015, Jennifer Conrad; Sunil Wahal; Jin Xiang
- House prices, collateral, and self-employment, 2015, Manuel Adelino; Antoinette Schoar; Felipe Severino
- How do acquirers choose between mergers and tender offers?, 2015, David Offenberg; Christo Pirinsky
- Impact of the Dodd-Frank act on credit ratings, 2015, Valentin Dimitrov; Darius Palia; Leo Tang
- Importing corruption culture from overseas: Evidence from corporate tax evasion in the United States, 2015, Jason Debacker; Bradley T. Heim; Anh Tran
- Incremental variables and the investment opportunity set, 2015, Eugene F. Fama; Kenneth R. French
- Information reliability and welfare: A theory of coarse credit ratings, 2015, Anand M. Goel; Anjan V. Thakor
- Investment and CEO compensation under limited commitment, 2015, Hengjie Ai; Rui Li
- Juicing the dividend yield: Mutual funds and the demand for dividends, 2015, Lawrence E. Harris; Samuel M. Hartzmark; David H. Solomon
- Liquid-claim production, risk management, and bank capital structure: Why high leverage is optimal for banks, 2015, Harry Deangelo; René M. Stulz
- Liquidity hoarding and interbank market rates: The role of counterparty risk, 2015, Florian Heider; Marie Hoerova; Cornelia Holthausen
- Lost in translation? The effect of cultural values on mergers around the world, 2015, Kenneth R. Ahern; Daniele Daminelli; Cesare Fracassi
- Macroeconomic linkages between monetary policy and the term structure of interest rates, 2015, Howard Kung
- Market run-ups, market freezes, inventories, and leverage, 2015, Philip Bond; Yaron Leitner
- Market-wide attention, trading, and stock returns, 2015, Yu Yuan
- Maturity rationing and collective short-termism, 2015, Konstantin Milbradt; Martin Oehmke
- Measuring skill in the mutual fund industry, 2015, Jonathan B. Berk; Jules H. Van Binsbergen
- Military CEOs, 2015, Efraim Benmelech; Carola Frydman
- Modeling financial contagion using mutually exciting jump processes, 2015, Yacine Aït-Sahalia; Julio Cacho-Diaz; Roger J.A. Laeven
- Momentum has its moments, 2015, Pedro Barroso; Pedro Santa-Clara
- Monetary policy and long-term real rates, 2015, Samuel G. Hanson; Jeremy C. Stein
- Motivated monitors: The importance of institutional investors׳ portfolio weights, 2015, Eliezer M. Fich; Jarrad Harford; Anh L. Tran
- Non-executive employee stock options and corporate innovation, 2015, Xin Chang; Kangkang Fu; Angie Low; Wenrui Zhang
- Payout policy through the financial crisis: The growth of repurchases and the resilience of dividends, 2015, Eric Floyd; Nan Li; Douglas J. Skinner
- Political capital and moral hazard, 2015, Leonard Kostovetsky
- Price support by bank-affiliated mutual funds, 2015, Benjamin Golez; Jose M. Marin
- Regression-based estimation of dynamic asset pricing models, 2015, Tobias Adrian; Richard K. Crump; Emanuel Moench
- Resource accumulation through economic ties: Evidence from venture capital, 2015, Yael V. Hochberg; Laura A. Lindsey; Mark M. Westerfield
- Scale and skill in active management, 2015, Ľuboš Pástor; Robert F. Stambaugh; Lucian A. Taylor
- Search-based peer firms: Aggregating investor perceptions through internet co-searches, 2015, Charles M.C. Lee; Paul Ma; Charles C.Y. Wang
- Should one hire a corrupt CEO in a corrupt country?, 2015, Maxim Mironov
- Signal or noise? Uncertainty and learning about whether other traders are informed, 2015, Snehal Banerjee; Brett Green
- Smart money, dumb money, and capital market anomalies, 2015, Ferhat Akbas; Will J. Armstrong; Sorin Sorescu; Avanidhar Subrahmanyam
- Social interaction at work, 2015, Hans K. Hvide; Per Östberg
- Social learning and corporate peer effects, 2015, Markku Kaustia; Ville Rantala
- Stocking up: Executive optimism, option exercise, and share retention, 2015, Rik Sen; Robert Tumarkin
- Structured debt ratings: Evidence on conflicts of interest, 2015, Matthias Efing; Harald Hau
- Suspect CEOs, unethical culture, and corporate misbehavior, 2015, Lee Biggerstaff; David C. Cicero; Andy Puckett
- Tail risk premia and return predictability, 2015, Tim Bollerslev; Viktor Todorov; Lai Xu
- Technology spillovers and corporate cash holdings, 2015, Jiaping Qiu; Chi Wan
- The JOBS Act and IPO volume: Evidence that disclosure costs affect the IPO decision, 2015, Michael Dambra; Laura Casares Field; Matthew T. Gustafson
- The adverse effects of systematic leakage ahead of official sovereign debt rating announcements, 2015, Alexander Michaelides; Andreas Milidonis; George P. Nishiotis; Panayiotis Papakyriakou
- The bonding hypothesis of takeover defenses: Evidence from IPO firms, 2015, William C. Johnson; Jonathan M. Karpoff; Sangho Yi
- The cross section of expected holding period returns and their dynamics: A present value approach, 2015, Matthew R. Lyle; Charles C.Y. Wang
- The disintermediation of financial markets: Direct investing in private equity, 2015, Lily Fang; Victoria Ivashina; Josh Lerner
- The effect of institutional ownership on firm transparency and information production, 2015, Audra L. Boone; Joshua T. White
- The effect of repatriation tax costs on U.S. multinational investment, 2015, Michelle Hanlon; Rebecca Lester; Rodrigo Verdi
- The failure of models that predict failure: Distance, incentives, and defaults, 2015, Uday Rajan; Amit Seru; Vikrant Vig
- The illiquidity premium: International evidence, 2015, Yakov Amihud; Allaudeen Hameed; Wenjin Kang; Huiping Zhang
- The impact of Treasury supply on financial sector lending and stability, 2015, Arvind Krishnamurthy; Annette Vissing-Jorgensen
- The price of wine, 2015, Elroy Dimson; Peter L. Rousseau; Christophe Spaenjers
- The risk premia embedded in index options, 2015, Torben G. Andersen; Nicola Fusari; Viktor Todorov
- The role of dynamic renegotiation and asymmetric information in financial contracting, 2015, Michael R. Roberts
- The value of corporate culture, 2015, Luigi Guiso; Paola Sapienza; Luigi Zingales
- The “greatest” carry trade ever? Understanding eurozone bank risks, 2015, Viral V. Acharya; Sascha Steffen
- Trade credit and cross-country predictable firm returns, 2015, Rui Albuquerque; Tarun Ramadorai; Sumudu W. Watugala
- Trading rules, competition for order flow and market fragmentation, 2015, Amy Kwan; Ronald Masulis; Thomas H. Mcinish
- Value versus growth investing: Why do different investors have different styles?, 2015, Henrik Cronqvist; Stephan Siegel; Frank Yu
- Volatility and mutual fund manager skill, 2015, Bradford D. Jordan; Timothy B. Riley
- Vulnerable banks, 2015, Robin Greenwood; Augustin Landier; David Thesmar
- Wealth transfers via equity transactions, 2015, Richard G. Sloan; Haifeng You
- When firms talk, do investors listen? The role of trust in stock market reactions to corporate earnings announcements, 2015, Mikhail Pevzner; Fei Xie; Xiangang Xin
- Why do term structures in different currencies co-move?, 2015, Chotibhak Jotikasthira; Anh Le; Christian Lundblad
- X-CAPM: An extrapolative capital asset pricing model, 2015, Nicholas Barberis; Robin Greenwood; Lawrence Jin; Andrei Shleifer
Review of Financial Studies¶
- A Theory of Income Smoothing When Insiders Know More Than Outsiders, 2015, Viral V. Acharya; Bart M. Lambrecht
- Agency Problems of Corporate Philanthropy, 2015, Ronald W. Masulis; Syed Walid Reza
- Are Mutual Funds Active Voters?, 2015, Peter Iliev; Michelle Lowry
- Board Structure and Monitoring: New Evidence from CEO Turnovers, 2015, Lixiong Guo; Ronald W. Masulis
- CEO Assessment and the Structure of Newly Formed Boards, 2015, David J. Denis; Diane K. Denis; Mark D. Walker
- Can "High Costs" Justify Weak Demand for the Home Equity Conversion Mortgage?, 2015, Thomas Davidoff
- Can Housing Risk Be Diversified? A Cautionary Tale from the Housing Boom and Bust, 2015, John Cotter; Stuart Gabriel; Richard Roll
- Capital Structure, Investment, and Fire Sales, 2015, Douglas Gale; Piero Gottardi
- Capital Supply Uncertainty, Cash Holdings, and Investment, 2015, Julien Hugonnier; Semyon Malamud; Erwan Morellec
- Cognitive Limitation and Investment Performance: Evidence from Limit Order Clustering, 2015, Wei-Yu Kuo; Tse-Chun Lin; Jing Zhao
- Competition for Order Flow with Fast and Slow Traders, 2015, Vincent Van Kervel
- Corporate Investment and Stock Market Listing: A Puzzle?, 2015, John Asker; Joan Farre-Mensa; Alexander Ljungqvist
- Differences of Opinion, Endogenous Liquidity, and Asset Prices, 2015, Emilio Osambela
- Do Individual Investors Treat Trading as a Fun and Exciting Gambling Activity? Evidence from Repeated Natural Experiments, 2015, Xiaohui Gao; Tse-Chun Lin
- Does Financing Spur Small Business Productivity? Evidence from a Natural Experiment, 2015, Karthik Krishnan; Debarshi K. Nandy; Manju Puri
- Does Takeover Activity Cause Managerial Discipline? Evidence from International M&A Laws, 2015, Ugur Lel; Darius P. Miller
- Dynamic Hedging and Extreme Asset Co-movements, 2015, Redouane Elkamhi; Denitsa Stefanova
- Dynamic Thin Markets, 2015, Marzena Rostek; Marek Weretka
- Dynamics of Innovation and Risk, 2015, Bruno Biais; Jean-Charles Rochet; Paul Woolley
- Editor's Choice Active Ownership, 2015, Elroy Dimson; Oğuzhan Karakaş; Xi Li
- Editor's Choice Capital Account Opening and Wage Inequality, 2015, Mauricio Larrain
- Editor's Choice Confusion of Confusions: A Test of the Disposition Effect and Momentum, 2015, Justin Birru
- Editor's Choice Digesting Anomalies: An Investment Approach, 2015, Kewei Hou; Chen Xue; Lu Zhang
- Editor's Choice Editorial: Cosmetic Surgery in the Academic Review Process, 2015, David Hirshleifer
- Editor's Choice Financing Constraints and the Amplification of Aggregate Downturns, 2015, Daniel Carvalho
- Editor's Choice Human Capital as an Asset Class Implications from a General Equilibrium Model, 2015, Miguel Palacios
- Editor's Choice New Evidence on the Financialization of Commodity Markets, 2015, Brian J. Henderson; Neil D. Pearson; Li Wang
- Editor's Choice Shareholder Voting and Corporate Governance Around the World, 2015, Peter Iliev; Karl V. Lins; Darius P. Miller; Lukas Roth
- Editor's Choice Strategic Investment and Industry Risk Dynamics, 2015, M. Cecilia Bustamante
- Editor's Choice The Real Effects of Hedge Fund Activism: Productivity, Asset Allocation, and Labor Outcomes, 2015, Alon Brav; Wei Jiang; Hyunseob Kim
- Editor's Choice The Sovereign Wealth Fund Discount: Evidence from Public Equity Investments, 2015, Bernardo Bortolotti; Veljko Fotak; William L. Megginson
- Editor's Choice The Sum of All FEARS Investor Sentiment and Asset Prices, 2015, Zhi Da; Joseph Engelberg; Pengjie Gao
- Expected Returns in Treasury Bonds, 2015, Anna Cieslak; Pavol Povala
- Exploring Return Dynamics via Corridor Implied Volatility, 2015, Torben G. Andersen; Oleg Bondarenko; Maria T. Gonzalez-Perez
- Feedback Trading between Fundamental and Nonfundamental Information, 2015, Ming Guo; Hui Ou-Yang
- Financial Distress, Stock Returns, and the 1978 Bankruptcy Reform Act, 2015, Dirk Hackbarth; Rainer Haselmann; David Schoenherr
- Home away from Home: Geography of Information and Local Investors, 2015, Gennaro Bernile; Alok Kumar; Johan Sulaeman
- House Prices, Home Equity Borrowing, and Entrepreneurship, 2015, Stefano Corradin; Alexander Popov
- How Important Are Foreign Ownership Linkages for International Stock Returns?, 2015, Söhnke M. Bartram; John M. Griffin; Tae-Hoon Lim; David T. Ng
- Information Management in Banking Crises, 2015, Joel Shapiro; David Skeie
- Information, Analysts, and Stock Return Comovement, 2015, Allaudeen Hameed; Randall Morck; Jianfeng Shen; Bernard Yeung
- Investor Attention and Stock Market Volatility, 2015, Daniel Andrei; Michael Hasler
- Investor Information, Long-Run Risk, and the Term Structure of Equity, 2015, Mariano M. Croce; Martin Lettau; Sydney C. Ludvigson
- Investor Sentiment Aligned: A Powerful Predictor of Stock Returns, 2015, Dashan Huang; Fuwei Jiang; Jun Tu; Guofu Zhou
- Labor Protection and Leverage, 2015, Elena Simintzi; Vikrant Vig; Paolo Volpin
- Learning About CEO Ability and Stock Return Volatility, 2015, Yihui Pan; Tracy Yue Wang; Michael S. Weisbach
- Learning About Unstable, Publicly Unobservable Payoffs, 2015, Peter Bossaerts; Elise Payzan-Lenestour
- Liquidity and Shareholder Activism, 2015, Øyvind Norli; Charlotte Ostergaard; Ibolya Schindele
- Modeling Covariance Risk in Merton's ICAPM, 2015, Alberto G. Rossi; Allan Timmermann
- Modeling Credit Contagion via the Updating of Fragile Beliefs, 2015, Luca Benzoni; Pierre Collin-Dufresne; Robert S. Goldstein; Jean Helwege
- Money Creation and the Shadow Banking System, 2015, Adi Sunderam
- Monotonicity of the Stochastic Discount Factor and Expected Option Returns, 2015, Ranadeb Chaudhuri; Mark Schroder
- On Bounding Credit-Event Risk Premia, 2015, Jennie Bai; Pierre Collin-Dufresne; Robert S. Goldstein; Jean Helwege
- Optimal Tax Timing with Asymmetric Long-Term/Short-Term Capital Gains Tax, 2015, Min Dai; Hong Liu; Chen Yang; Yifei Zhong
- Ownership Structure, Voting, and Risk, 2015, Amrita Dhillon; Silvia Rossetto
- Playing the Devil's Advocate: The Causal Effect of Risk Management on Loan Quality, 2015, Tobias Berg
- Post-Earnings-Announcement Drift in Global Markets: Evidence from an Information Shock, 2015, Mingyi Hung; Xi Li; Shiheng Wang
- Predictable Corporate Distributions and Stock Returns, 2015, Hendrik Bessembinder; Feng Zhang
- Redefining Financial Constraints: A Text-Based Analysis, 2015, Gerard Hoberg; Vojislav Maksimovic
- Regression Discontinuity and the Price Effects of Stock Market Indexing, 2015, Yen-Cheng Chang; Harrison Hong; Inessa Liskovich
- Restraining Overconfident CEOs through Improved Governance: Evidence from the Sarbanes-Oxley Act, 2015, Suman Banerjee; Mark Humphery-Jenner; Vikram Nanda
- Risk and Expected Returns of Private Equity Investments: Evidence Based on Market Prices, 2015, Narasimhan Jegadeesh; Roman Kräussl; Joshua M. Pollet
- Robust Econometric Inference for Stock Return Predictability, 2015, Alexandros Kostakis; Tassos Magdalinos; Michalis P. Stamatogiannis
- Rumor Has It: Sensationalism in Financial Media, 2015, Kenneth R. Ahern; Denis Sosyura
- Securitization and the Fixed-Rate Mortgage, 2015, Andreas Fuster; James Vickery
- Self-Exciting Jumps, Learning, and Asset Pricing Implications, 2015, Andras Fulop; Junye Li; Jun Yu
- Shadow Banking and Bank Capital Regulation, 2015, Guillaume Plantin
- Synthetic or Real? The Equilibrium Effects of Credit Default Swaps on Bond Markets, 2015, Martin Oehmke; Adam Zawadowski
- Territorial Tax System Reform and Corporate Financial Policies, 2015, Matteo P. Arena; George W. Kutner
- Testing for Information Asymmetries in Real Estate Markets, 2015, Pablo Kurlat; Johannes Stroebel
- The Bright Side of Corporate Diversification: Evidence from Internal Labor Markets, 2015, Geoffrey Tate; Liu Yang
- The Costs of Closing Failed Banks: A Structural Estimation of Regulatory Incentives, 2015, Ari Kang; Richard Lowery; Malcolm Wardlaw
- The Geography of Funding Markets and Limits to Arbitrage, 2015, Andrea Buraschi; Murat Menguturk; Emrah Sener
- The Implicit Costs of Trade Credit Borrowing by Large Firms, 2015, Justin Murfin; Ken Njoroge
- The Informational Role of Stock and Bond Volume, 2015, Kerry Back; Kevin Crotty
- The Invisible Hand of Short Selling: Does Short Selling Discipline Earnings Management?, 2015, Massimo Massa; Bohui Zhang; Hong Zhang
- The Real Effects of Short-Selling Constraints, 2015, Gustavo Grullon; Sébastien Michenaud; James P. Weston
- The Worst, the Best, Ignoring All the Rest: The Rank Effect and Trading Behavior, 2015, Samuel M. Hartzmark
- Thinking Outside the Borders: Investors' Underreaction to Foreign Operations Information, 2015, Xing Huang
- Traders vs. Relationship Managers: Reputational Conflicts in Full-Service Investment Banks, 2015, Zhaohui Chen; Alan D. Morrison; William J. Wilhelm
- Trading Fast and Slow: Colocation and Liquidity, 2015, Jonathan Brogaard; Björn Hagströmer; Lars Nordén; Ryan Riordan
- Understanding FX Liquidity, 2015, Nina Karnaukh; Angelo Ranaldo; Paul Söderlind
- Valuation, Adverse Selection, and Market Collapses, 2015, Michael J. Fishman; Jonathan A. Parker
- Valuing Changes in Political Networks: Evidence from Campaign Contributions to Close Congressional Elections, 2015, Pat Akey
- Weather-Induced Mood, Institutional Investors, and Stock Returns, 2015, William N. Goetzmann; Dasol Kim; Alok Kumar; Qin Wang
- What's in a Name? Mutual Fund Flows When Managers Have Foreign-Sounding Names, 2015, Alok Kumar; Alexandra Niessen-Ruenzi; Oliver G. Spalt
- When Less Is More: The Benefits of Limits on Executive Pay, 2015, Peter Cebon; Benjamin E. Hermalin
- Why Are University Endowments Large and Risky?, 2015, Thomas Gilbert; Christopher Hrdlicka