Items where Subject is "Finance"

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Number of items at this level: 849.

Article

Aarts, Siem and Baum, Andrew (2016) Performance persistence in real estate private equity. Journal of Property Research, 33 (3). pp. 236-251. Link to full text available through this repository.
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Abrahamson, Mark, Jenkinson, Tim and Jones, Howard (2011) Why Don’t U.S. Issuers Demand European Fees for IPOs? The Journal of Finance, 66 (6). pp. 2055-2082. Link to full text available through this repository.
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Acharya, Viral, Lochstoer, Lars and Ramadorai, Tarun (2013) Limits to arbitrage and hedging: Evidence from commodity markets. Journal of Financial Economics, 109 (2). pp. 441-465. Link to full text available through this repository.
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Agliardi, Elettra, Amel-Zadeh, Amir and Koussis, Nicos (2016) Leverage changes and growth options in mergers and acquisitions. Journal of Empirical Finance, 37. pp. 37-58. Link to full text available through this repository.
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Albuquerque, Rui, Ramadorai, Tarun and Watugala, Sumudu (2015) Trade Credit and Cross-Country Predictable Firm Returns. Journal of Financial Economics, 115 (3). pp. 592-3. Link to full text available through this repository.
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Alcock, Jamie, Baum, Andrew, Colley, Nicholas and Steiner, Eva (2013) The Role of Financial Leverage in the Performance of Core, Value-add and Opportunistic Private Equity Real Estate Funds. The Journal of Portfolio Management, 39 (5). pp. 99-110. Full text not available from this repository.
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Allsopp, Christopher, Jenkinson, Tim and O'Shaughnessy, Terry (1990) The Balance of Payments and International Economic Integration. Oxford Review of Economic Policy, 6 (3). pp. 1-17. Link to full text available through this repository.
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Alphonse, Philip, Hellmann, Thomas and Wei, Jane (1999) Minority Private Equity: A Market in Transition. The Journal of Private Equity, 2 (4). pp. 27-45.
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Amel-Zadeh, Amir (2011) The Return of the Size Anomaly: Evidence from the German Stock Market. European Financial Management, 17 (1). pp. 145-182. Link to full text available through this repository.
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Amel-Zadeh, Amir, Barth, Mary and Landsman, Wayne (2017) The Contribution of Bank Regulation and Fair Value Accounting to Procyclical Leverage. Review of Accounting Studies, 22. pp. 1423-1454. Full text availability may be restricted.
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Amel-Zadeh, Amir and Meeks, Geoff (2013) Bank Failure, Mark-to-Market and the Financial Crisis. Abacus, 49 (3). pp. 308-339. Link to full text available through this repository.
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Amel-Zadeh, Amir and Zhang, Yuan (2015) The Economic Consequences of Financial Restatements: Evidence from the Market for Corporate Control. The Accounting Review, 90. pp. 1-29. Link to full text available through this repository.
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Arping, Stefan, Loranth, Gyöngyi and Morrison, Alan (2010) Public Initiatives to Support Entrepreneurs: Credit Guarantees Versus Co-funding. Journal of Financial Stability, 6 (1). pp. 26-35. Link to full text available through this repository.
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Artinger, Sabrina, Shem-Tov, Yotam and Vulkan, Nir (2014) Entrepreneurs' negotiation behaviour. Small Business Economics Journal. Link to full text available through this repository.
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Aspachs, Oriol, Goodhart, Charles, Tsomocos, Dimitrios and Zicchino, Lea (2007) Towards a Measure of Financial Fragility. Annals of Finance, 3 (1). pp. 37-74. Link to full text available through this repository.
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Athanasoulis, Stefano and Sussman, Oren (2007) Habit Formation and the Equity-Premium Puzzle: A Skeptical View. Annals of Finance, 3 (2). pp. 193-212. Link to full text available through this repository.
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Attari, Mukerram, Banerjee, Suman and Noe, Thomas (2006) Crushed by a rational stampede: Strategic share dumping and shareholder insurrections. Journal of Financial Economics, 79 (1). pp. 181-222. Link to full text available through this repository.
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Axelson, Ulf, Jenkinson, Tim, Strömberg, Per and Weisbach, Michael S. (2013) Borrow Cheap, Buy High? The Determinants of Leverage and Pricing in Buyouts. The Journal of Finance, 68 (6). pp. 2223-2267. Link to full text available through this repository.
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Banerjee, Suman and Noe, Thomas (2002) Exotics and electrons: Electric power crises and the financial risk management. The Journal of Business (Chicago), 79 (5). pp. 2659-2696. Link to full text available through this repository.
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Banerjee, Suman and Noe, Thomas (2016) Legal-system Arbitrage and Parent Subsidiary Capital Structures. Management Science.
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Bar-Isaac, Heski and Shapiro, Joel (2011) Credit Ratings Accuracy and Analyst Incentives. The American Economic Review, 101 (3). pp. 120-124. Link to full text available through this repository.
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Bar-Isaac, Heski and Shapiro, Joel (2013) Ratings Quality over the Business Cycle. Journal of Financial Economics, 108 (1). pp. 62-78. Full text not available from this repository.
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Baum, Andrew (2007) Managing Specific Risk in Property Portfolios. Property Research Quarterly, 6 (2). pp. 14-23. Full text not available from this repository.
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Baum, Andrew and Colley, Nicholas (2017) Can real estate investors avoid specific risk? Abacus. pp. 1-36. Full text availability may be restricted.
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Baum, Andrew and Colley, Nicholas (2017) The risk and return characteristics of direct, listed, unlisted and multi-manager approaches to real estate investment. ABACUS. (Accepted) Full text availability may be restricted.
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Baum, Andrew, Crosby, Neil, McAllister, Pat, Gallimore, Paul and Gray, Adelaide (2003) Appraiser behaviour and appraisal smoothing: some qualitative and quantitative evidence. Journal of Property Research, 20 (3). pp. 261-280. Full text not available from this repository.
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Baum, Andrew and Devaney, Steven (2008) Depreciation, Income Distribution and the UK REIT. Journal of Property Investment and Finance, 26 (3). pp. 195-209. Full text not available from this repository.
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Baum, Andrew and Turner, Neil (2004) Retention Rates, Re-Investment And Depreciation In European Office Markets. Journal of Property Investment and Finance, 22 (3). pp. 214-235. Full text not available from this repository.
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Becht, Marco, Jenkinson, Tim and Mayer, Colin (2005) Corporate governance: an assessment. Oxford Review of Economic Policy, 21 (2). pp. 155-163. Link to full text available through this repository.
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Beckerman, Wilfrid and Jenkinson, Tim (1990) Wage Bargaining and Profitability: A Disaggregative Analysis. Labour, 4 (3). pp. 57-78. Link to full text available through this repository.
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Beckerman, Wilfrid and Jenkinson, Tim (1986) What Stopped the Inflation? Unemployment or Commodity Prices? The Economic Journal, 96 (381). pp. 39-54. Link to full text available through this repository.
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Bell, Leonie and Jenkinson, Tim (2002) New evidence on the impact of dividend taxation and on the identity of the marginal investor. The Journal of Finance, 57 (3). pp. 1321-1346. Link to full text available through this repository.
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Berger, Allen, Imbierowicz, Bjorn and Rauch, Christian (2015) The Roles of Corporate Governance in Bank Failures During the Recent Financial Crisis. Journal of Money, Credit and Banking, 48 (4). pp. 729-770. Link to full text available through this repository.
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Bertero, Elisabetta and Mayer, Colin (1990) Structure and performance: Global interdependence of stock markets around the crash of October 1987. European Economic Review, 34 (6). pp. 1155-1180. Link to full text available through this repository.
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Beverly, Sondra, Schneider, Daniel and Tufano, Peter (2006) Splitting Tax Refunds and Building Savings: An Empirical Test. Tax Policy and the Economy, 20. pp. 111-162. Link to full text available through this repository.
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Bhargava, Sandeep and Jenkinson, Tim (1995) Explicit versus Implicit Profit Sharing and the Determination of Wages: Microeconomic Evidence from the U.K. Labour, 9 (1). pp. 73-95. Link to full text available through this repository.
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Binmore, Ken and Vulkan, Nir (1999) Applying game theory to automated negotiation. Netnomics, 1 (1). pp. 1-9. Link to full text available through this repository.
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Bolton, Patrick, Freixas, Xavier and Shapiro, Joel (2007) Conflicts of Interest, Information Provision, and Competition in Banking. Journal of Financial Economics, 85 (2). pp. 297-330. Link to full text available through this repository.
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Bolton, Patrick, Freixas, Xavier and Shapiro, Joel (2012) The Credit Ratings Game. The Journal of Finance, 67 (1). pp. 85-112. Link to full text available through this repository.
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Bolton, Patrick, Mehran, Hamid and Shapiro, Joel (2015) Executive Compensation and Risk Taking. Review of Finance, 19 (6). pp. 2139-2181. Link to full text available through this repository.
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Bond, Stephen and Jenkinson, Tim (1996) Investment Performance and Policy. Oxford Review of Economic Policy, 12 (2). pp. 1-29. Link to full text available through this repository.
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Bordalo, Pedro, Coffman, Katherine, Gennaioli, Nicola and Shleifer, Andrei (2016) Stereotypes. Quarterly Journal of Economics, 131 (4). pp. 1753-1794. Full text availability may be restricted.
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Bordalo, Pedro, Gennaioli, Nicola and Shleifer, Andrei (2016) Competition for Attention. Review of Economic Studies, 83 (2). pp. 481-513. Link to full text available through this repository.
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Bordalo, Pedro, Gennaioli, Nicola and Shleifer, Andrei (2017) Diagnostic Expectations and Credit Cycles. Journal of Finance. pp. 1-57. (Accepted) Full text availability may be restricted.
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Bordalo, Pedro, Gennaioli, Nicola and Shleifer, Andrei (2012) Salience Theory of Choice Under Risk. Quarterly Journal of Economics, 127 (3). pp. 1243-1285. Link to full text available through this repository.
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Bordalo, Pedro, Gennaioli, Nicola and Shleifer, Andrei (2015) Salience Theory of Judicial Decisions. Journal of Legal Studies, 44 (S1). Link to full text available through this repository.
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Bordalo, Pedro, Gennaioli, Nicola and Shleifer, Andrei (2013) Salience and Asset Prices. American Economic Review, 103 (3). pp. 623-628. Link to full text available through this repository.
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Bordalo, Pedro, Gennaioli, Nicola and Shleifer, Andrei (2013) Salience and Consumer Choice. Journal of Political Economy, 121 (5). pp. 803-843. Link to full text available through this repository.
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Bordalo, Pedro, Gennaioli, Nicola and Shleifer, Andrei (2012) Salience in Experimental Tests of the Endowment Effect. American Economic Review, 102 (3). pp. 47-52. Link to full text available through this repository.
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Bottazzi, Laura, Da Rin, Marco and Hellmann, Thomas (2016) The Importance of Trust for Investment: Evidence from Venture Capital. Review of Financial Studies, 29 (9). pp. 2283-2318. Link to full text available through this repository.
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Bottazzi, Laura, Da Rin, Marco and Hellmann, Thomas (2009) What is the role of legal systems in financial intermediation? Theory and evidence. Journal of Financial Intermediation, 18 (4). pp. 559-598. Link to full text available through this repository.
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Bottazzi, Laura, Da Rin, Marco and Hellmann, Thomas (2008) Who are the active investors?: Evidence from venture capital. Journal of Financial Economics, 89 (3). pp. 488-512. Link to full text available through this repository.
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Brander, James A., Du, Qianqian and Hellmann, Thomas (2015) The Effects of Government-Sponsored Venture Capital: International Evidence. Review of Finance, 19 (2). pp. 571-618. Link to full text available through this repository.
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Brander, James A., Hellmann, Thomas and Meredith, Tyler (2012) What Ottawa Can Do. Policy Options, November. pp. 42-44. Link to full text available through this repository.
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Braun, Reiner, Jenkinson, Tim and Stoff, Ingo (2017) How Persistent is Private Equity Performance? Evidence from Deal-Level Data. Journal of Financial Economics, 123. pp. 273-291. Link to full text available through this repository.
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Campbell, Dennis, Martinez-Jerez, Francisco de Asis and Tufano, Peter (2012) Bouncing out of the banking system: An empirical analysis of involuntary bank account closures. Journal of Banking & Finance, 36 (4). pp. 1224-1235. Link to full text available through this repository.
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Campbell, John, Jackson, Howell E., Madrian, Brigitte C. and Tufano, Peter (2011) Consumer Financial Protection. Journal of Economic Perspectives, 25 (1). pp. 91-114. Link to full text available through this repository.
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Campbell, John, Jackson, Howell E., Madrian, Brigitte C. and Tufano, Peter (2011) Making Financial Markets Work for Consumers. Harvard Business Review, 89 (7/8). pp. 47-54. Link to full text available through this repository.
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Campbell, John, Ramadorai, Tarun and Schwartz, Allie (2009) Caught on tape: institutional trading, stock returns, and earnings announcements. Journal of Financial Economics, 92 (1). pp. 66-91. Link to full text available through this repository.
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Carlin, Wendy and Mayer, Colin (1995) Structure and Ownership of East German Enterprises. Journal of the Japanese and International Economies, 9 (4). pp. 426-453. Link to full text available through this repository.
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Carlin, Wendy, Mayer, Colin, Sinn, Hans-Werner and Grilli, Vittorio (1992) Restructuring Enterprises in Eastern Europe. Economic Policy, 7 (15). pp. 311-352. Link to full text available through this repository.
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Catarineu-Rabell, Eva, Jackson, Patricia and Tsomocos, Dimitrios (2005) Procyclicality and the New Basel Accord – Banks’ Choice of Loan Rating System. Economic Theory, 26 (3). pp. 537-557. Link to full text available through this repository.
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Chamley, Christophe and Rochon, Céline (2011) From search to match: when loan contracts are too long. Journal of Money, Credit & Banking, 43 (s2). pp. 385-411. Link to full text available through this repository.
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Chattoe, Edmund, Dautenhahn, Kerstin, Dickinson, Ian, Doran, Jim and Vulkan, Nir (2000) A Multidisciplinary Perspective on Multi-Agent Systems. Knowledge Engineering Review, 15 (3). pp. 293-301. Link to full text available through this repository.
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Chen, Zhaohui, Morrison, Alan and Wilhelm, William (2014) Investment Bank Reputation and 'Star' Cultures. The Review of Corporate Finance Studies, 2 (2). pp. 129-153. Link to full text available through this repository.
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Chen, Zhaohui, Morrison, Alan and Wilhelm, William (2014) Traders vs. Relationship Managers: Reputational Conflicts in Full-Service Investment Banks. The Review of Financial Studies, 28 (4). pp. 1153-1198. Link to full text available through this repository.
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Chichilnisky, Graciela, Heal, Geoffrey and Tsomocos, Dimitrios (1995) Option Values and Endogenous Uncertainty in ESOPs, MBOs and Asset-Backed Loans. Economics Letters, 48 (3-4). pp. 379-388. Link to full text available through this repository.
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Chotibhak, Jotikasthira, Lundblad, Christian and Ramadorai, Tarun (2013) How do foreign investors impact domestic economic activity?Evidence from India and China. Journal of International Money and Finance., 39. pp. 89-110. Link to full text available through this repository.
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Corbett, Jenny and Jenkinson, Tim (1996) The Financing of Industry, 1970-89: An International Comparison. Journal of the Japanese and International Economies, 10 (1). pp. 71-96. Link to full text available through this repository.
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Corbett, Jenny and Jenkinson, Tim (1997) How is investment financed? A Study of Germany, Japan, UK and US. The Manchester School, 65. pp. 69-93. Link to full text available through this repository.
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Corbett, Jenny and Mayer, Colin (1991) Financial Reform in Eastern Europe: Progress with the Wrong Model. Oxford Review of Economic Policy, 7 (4). pp. 57-75. Link to full text available through this repository.
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Coulter, Brian, Shapiro, Joel and Zimmerman, Peter A mechanism for LIBOR. Review of Finance. (Accepted) Full text availability may be restricted.
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Da Rin, Marco and Hellmann, Thomas (2002) Banks as Catalysts for Industrialization. Journal of Financial Intermediation, 11 (4). pp. 366-397. Link to full text available through this repository.
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Da Rin, Marco and Phalippou, Ludovic (2016) The importance of size in private equity: Evidence from a survey of limited partners. Journal of Financial Intermediation. pp. 1-13. Full text availability may be restricted.
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Dahlquist, Magnus and Martinez, Jose Vicente (2015) Investor Inattention: A Hidden Cost of Choice in Pension Plans? European Financial Management, 21 (1). pp. 1-19. Link to full text available through this repository.
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Dai, Zhonglan, Jin, Li and Zhang, Weining (2014) Executive Pay-Performance Sensitivity and Litigation. Contemporary Accounting Research, 31 (1). pp. 152-177. Link to full text available through this repository.
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Das, Sanjiv Rangan and Tufano, Peter (1996) Pricing Credit-Sensitive Debt When Interest Rates, Credit Ratings and Credit Spreads are Stochastic. The Journal of Financial Engineering, 5 (2). pp. 161-198. Full text not available from this repository.
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Dasgupta, Sudipto, Noe, Thomas and Wang, Zhen (2011) Where did all the dollars go? The effect of cash flows on capital and asset structure. Journal of Financial and Quantitative Analysis, 46 (5). pp. 1259-1294. Link to full text available through this repository.
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Davidoff, Steven, Morrison, Alan and Wilhelm, William (2011) Computerization and the ABACUS: Reputation, Trust, and Fiduciary Duties in Investment Banking. Journal of Corporation Law (27). pp. 529-553. Link to full text available through this repository.
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Davidoff, Steven, Morrison, Alan and Wilhelm, William (2012) The SEC v. Goldman Sachs: Reputation, Trust and Fuduciary Duties in Investment Banking. The Journal of Corporation Law, 37 (3). pp. 529-553. Full text not available from this repository.
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Degeorge, Francois, Martin, Jens and Phalippou, Ludovic (2015) On Secondary Buyouts. Journal of Financial Economics.
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Desai, Mihir A. and Jin, Li (2011) Institutional Tax Clienteles and Payout Policy. Journal of Financial Economics, 100 (1). pp. 68-84. Link to full text available through this repository.
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Desgranges, Gabriel and Rochon, Céline (2013) Conformism and public news. Economic Theory, 52 (3). pp. 1061-1090. Link to full text available through this repository.
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Dhillon, Upinder, Noe, Thomas and Ramirez, Gabriel (2001) Bond calls, credible commitment and equity dilution: A theoretical and clinical analysis of Simultaneous Tender and Call (STAC) offers. Journal of Financial Economics, 60 (2-3). pp. 573-611. Link to full text available through this repository.
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Dhillon, Upinder, Noe, Thomas and Ramirez, Gabriel (2001) Bond calls, credible commitment, and equity dilution - A theoretical and clinical analysis of Simultaneous Tender and Call (STAC) offers. Journal of Financial Economics, 60 (2-3). pp. 573-611. Link to full text available through this repository.
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Dissanaike, G and Amel-Zadeh, Amir (2007) Venture Capitalists, Business Angels, and Performance of Entrepreneurial IPOs in the UK and France: A discussion. Journal of Business, Finance and Accounting, 34 (3-4). pp. 529-540. Link to full text available through this repository.
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Dolado, Juan, Jenkinson, Tim and Sosvilla-Rivero, Simon (1990) Cointegration and Unit Roots: A Survey. Journal of Economic Surveys, 4 (3). pp. 249-273. Link to full text available through this repository.
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Driessen, Joost, Lin, Tse-Chun and Phalippou, Ludovic (2012) A new method to estimate risk and return of non-traded assets from cash flows: The case of private equity funds. Journal of Financial and Quantitative Analysis, 47 (3). pp. 511-535. Link to full text available through this repository.
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Easley, David, Hendershott, Terry and Ramadorai, Tarun (2014) Levelling the trading field. Journal of Financial Markets, 17. pp. 65-93. Link to full text available through this repository.
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Espinoza, Raphaël, Goodhart, Charles and Tsomocos, Dimitrios (2009) State Prices, Liquidity, and Default. Economic Theory, 39 (2). pp. 177-194. Link to full text available through this repository.
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Espinoza, Raphaël and Tsomocos, Dimitrios (2014) Monetary transaction costs and the term premium. Economic Theory, 59 (2). pp. 355-375. Link to full text available through this repository.
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Esty, Ben, Tufano, Peter and Headley, Jonathan (1994) Banc one corporation: Asset and liability management. Journal of Applied Corporate Finance, 7 (3). pp. 33-52. Link to full text available through this repository.
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Fang, Vivian, Noe, Thomas and Tice, Sheri (2009) Stock market liquidity and firm value. Journal of Financial Economics, 94 (1). pp. 150-169. Link to full text available through this repository.
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Feltenstein, Andrew and Rochon, Céline (2009) Can good events lead to bad outcomes? Endogenous banking crises and fiscal policy responses. Journal of Asian Economics, 20 (4). pp. 396-409. Link to full text available through this repository.
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Feltenstein, Andrew, Rochon, Céline and Shamloo, Maral (2010) High growth and low consumption in East Asia: How to improve welfare while avoiding financial failures. Journal of Development Economics, 91 (1). pp. 25-36. Link to full text available through this repository.
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Fielder, Marc-Oliver and Hellmann, Thomas (2001) Against all odds: the late but rapid development of the German venture capital industry. The Journal of Private Equity, 4 (4). pp. 31-45. Link to full text available through this repository.
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Flemming, John and Mayer, Colin (1997) The Assessment: Public-Sector Investment. Oxford Review of Economic Policy, 13 (4). pp. 1-11. Link to full text available through this repository.
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Franks, Julian, Mayer, Colin, Hardie, Jeremy and Malinvaud, Edmond (1990) Capital Markets and Corporate Control: A Study of France, Germany and the UK. Economic Policy, 5 (10). pp. 189-231. Link to full text available through this repository.
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Franks, Julian, Mayer, Colin and Miyajima, Hideaki (2014) The Ownership of Japanese Corporations in the 20th Century. The Review of Financial Studies, 27 (9). Link to full text available through this repository.
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Franks, Julian and Sussman, Oren (2005) Financial Distress and Bank Restructuring of Small to Medium Size UK Companies. Review of Finance, 9 (1). pp. 65-96. Link to full text available through this repository.
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Franks, Julian and Sussman, Oren (2005) Financial Innovations and Corporate Bankruptcy. Journal of Financial Intermediation, 14 (3). pp. 283-317. Link to full text available through this repository.
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Freixas, Xavier, Hurkens, Sjaak, Morrison, Alan and Vulkan, Nir (2007) Interbank Competition with Costly Screening. The B.E. Journal of Theoretical Economics, 7 (1). Link to full text available through this repository.
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Freixas, Xavier, Loranth, Gyöngyi and Morrison, Alan (2007) Regulating Financial Conglomerates. Journal of Financial Intermediation, 16 (4). pp. 479-514. Link to full text available through this repository.
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Froot, Kenneth and Ramadorai, Tarun (2005) Currency returns, intrinsic value and institutional investor flows. The Journal of Finance, 60 (3). pp. 1535-1566. Link to full text available through this repository.
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Froot, Kenneth and Ramadorai, Tarun (2008) Institutional portfolio flows and international investments. The Review of Financial Studies, 21 (2). pp. 937-971. Link to full text available through this repository.
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Fuerst, Franz, Milcheva, Stanimeva and Baum, Andrew (2015) Cross-Border Capital Flows into Real Estate. Real Estate Finance, 31 (3). pp. 103-122. Full text not available from this repository.
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Fung, William, Hsieh, David, Naik, Narayan and Ramadorai, Tarun (2008) Hedge funds: performance, risk and capital formation. The Journal of Finance, 63 (4). pp. 1777-1803. Link to full text available through this repository.
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Furth, Sven and Rauch, Christian (2012) Dividend Recaps and IPO Proceeds - The Untold Story of Bain Capital's Financial Success. Handelsblatt German Newspaper, Nov 1st 2012. Full text not available from this repository.
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Furth, Sven and Rauch, Christian (2015) Fare Thee Well? An Analysis of Buyout Funds' Exit Strategies. Financial Management, 44 (4). pp. 811-849. Link to full text available through this repository.
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Geanakoplos, J.D. and Tsomocos, Dimitrios (2002) International finance in general equilibrium. Research in Economics, 56 (1). pp. 85-142. Link to full text available through this repository.
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Geitona, M, Carayanni, V and Petratos, Pythagoras (2012) Economic Evaluation of Opioid Substitution Treatment in Greece. Heroin Addiction and Related Clinical Problems, 14 (3). pp. 77-88. Full text not available from this repository.
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Gillette, Ann and Noe, Thomas (2006) If at first you dont succeed: An experimental investigation of the impact of repetition options on corporate takeovers and the provision of public goods. The Review of Financial Studies, 19 (2). pp. 561-603. Link to full text available through this repository.
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Gillette, Ann, Noe, Thomas and Rebello, Michael (2008) Board structures around the world: An experimental investigation. Review of Finance, 12 (1). pp. 93-140. Link to full text available through this repository.
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Gillette, Ann, Noe, Thomas and Rebello, Michael (2003) Corporate board composition, protocols, and voting behavior: Experimental evidence. The Journal of Finance, 58 (5). pp. 1997-2031. Link to full text available through this repository.
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Giovannini, Alberto, Mayer, Colin, Micossi, Stefano, Di Noia, Carmine, Onado, Marco, Pagano, Marco and Polo, Andrea Restarting European long-term investment finance. A Green Paper Discussion Document. Link to full text available through this repository.
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Giraud, Gaël and Rochon, Céline (2002) Consistent collusion-proofness and correlation in exchange economies. Journal of Mathematical Economics, 38 (4). pp. 441-463. Link to full text available through this repository.
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Giraud, Gaël and Rochon, Céline (2003) Generic efficiency and collusion-proofness in exchange economies. Social Choice and Welfare, 20 (3). pp. 405-428. Link to full text available through this repository.
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Giraud, Gaël and Tsomocos, Dimitrios (2010) Nominal Uniqueness and Money Non-neutrality in the Limit-price Exchange Process. Economic Theory, 45 (1-2). pp. 303-348. Link to full text available through this repository.
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Gleisner, Fabian, Hackethal, Andreas and Rauch, Christian (2010) Migration and the Retail Banking Industry - An Examination of Immigrants' Bank Nationality Choice in Germany. The European Journal of Finance, 16 (5). pp. 459-480. Link to full text available through this repository.
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Goodhart, Charles, Kashyap, K. A., Tsomocos, Dimitrios and Vardoulakis, Alexandros (2013) An Integrated Framework for Analyzing Multiple Financial Regulations. International Journal of Central Banking, 9 (Sup.1). pp. 109-143. Link to full text available through this repository.
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Goodhart, Charles, Peiris, Udara and Tsomocos, Dimitrios (2017) Debt, Recovery Rates and the Greek Dilemma. Journal of Financial Stability. (Accepted) Full text availability may be restricted.
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Goodhart, Charles, Peiris, Udara and Tsomocos, Dimitrios (2013) Global Imbalances and Taxing Capital Flows. International Journal of Central Banking, 9 (2). pp. 13-45. Link to full text available through this repository.
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Goodhart, Charles, Peiris, Udara, Tsomocos, Dimitrios and Vardoulakis, Alexandros (2010) On Dividend Restrictions and the Collapse of the Interbank Market. Annals of Finance, 6 (4). pp. 455-473. Link to full text available through this repository.
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Goodhart, Charles, Sunirand, Pojanart and Tsomocos, Dimitrios (2006) A Model to Analyse Financial Fragility. Economic Theory, 27 (1). pp. 107-142. Link to full text available through this repository.
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Goodhart, Charles, Sunirand, Pojanart and Tsomocos, Dimitrios (2004) A Model to Analyse Financial Fragility: Applications. Journal of Financial Stability, 1 (1). pp. 1-30. Link to full text available through this repository.
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Goodhart, Charles, Sunirand, Pojanart and Tsomocos, Dimitrios (2011) The Optimal Monetary Instrument for Prudential Purposes. Journal of Financial Stability, 7 (2). pp. 70-77. Link to full text available through this repository.
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Goodhart, Charles, Sunirand, Pojanart and Tsomocos, Dimitrios (2005) A Risk Assessment Model for Banks. Annals of Finance, 1 (2). pp. 197-224. Link to full text available through this repository.
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Goodhart, Charles, Sunirand, Pojanart and Tsomocos, Dimitrios (2006) A Time Series Analysis of Financial Fragility in the UK Banking System. Annals of Finance, 2 (1). pp. 1-21. Link to full text available through this repository.
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Goodhart, Charles and Tsomocos, Dimitrios (2007) Financial Stability: Theory and Applications. Annals of Finance, 3 (1). pp. 1-4. Link to full text available through this repository.
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Goodhart, Charles and Tsomocos, Dimitrios (2014) International Monetary Regimes. Capitalism and Society, 9 (2). Link to full text available through this repository.
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Goodhart, Charles and Tsomocos, Dimitrios (2011) The Mayekawa Lecture: The role of Default in Macroeconomics. Monetary and Economic Studies, 29. pp. 49-72. Link to full text available through this repository.
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Goswami, Gautam, Noe, Thomas and Wang, Jun (2016) Buying up the block: An experimental investigation of capturing economic rents through sequential negotiations. Journal of Law, Economics and Organization. Full text availability may be restricted.
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Gottschalg, Oliver, Kreuter, Bernd and Phalippou, Ludovic (2007) More than meets the eye: Terms and conditions in private equity. Private Equity International, 4 (54). p. 67. Full text not available from this repository.
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Gottschalg, Oliver and Phalippou, Ludovic (2008) La vérité sur les performances dans le capital-investissement. Revue d'économie financière, 93. pp. 201-212. Full text not available from this repository.
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Gottschalg, Oliver and Phalippou, Ludovic (2007) The Truth About Private Equity Performance. Harvard Business Review, 85 (12). pp. 17-20. Link to full text available through this repository.
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Guembel, Alexander and Sussman, Oren (2004) Optimal exchange rates: a market microstructure approach. European Economic Association. Journal, 2 (6). pp. 1242-1274. Link to full text available through this repository.
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Guembel, Alexander and Sussman, Oren (2009) Sovereign Debt without Default Penalties. The Review of Economic Studies, 76 (4). pp. 1297-1320. Link to full text available through this repository.
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Hankir, Yassin, Rauch, Christian and Umber, Marc (2011) Bank M&A: A Market Power Story? Journal of Banking and Finance, 35 (9). pp. 2341-2354. Link to full text available through this repository.
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Harris, Robert, Jenkinson, Tim and Kaplan, Steven (2014) Private Equity Performance: What Do We Know? The Journal of Finance, 69 (5). pp. 1851-1882. Link to full text available through this repository.
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Harris, Robert, Jenkinson, Tim and Stucke, Ruediger (2012) Are Too Many Private Equity Funds Top Quartile? Journal of Applied Corporate Finance, 24 (4). pp. 77-89. Link to full text available through this repository.
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Hellmann, Thomas (1998) The Allocation of Control Rights in Venture Capital Contracts. The Rand Journal of Economics, 29 (1). pp. 57-76. Link to full text available through this repository.
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Hellmann, Thomas (2007) Entrepreneurs and the Process of Obtaining Resources. Journal of Economics & Management Strategy, 16 (1). pp. 81-109.
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Hellmann, Thomas (2006) IPOs, acquisitions, and the use of convertible securities in venture capital. Journal of Financial Economics, 81 (3). pp. 649-679. Link to full text available through this repository.
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Hellmann, Thomas (1998) Some Thoughts on the Theory of Corporate Venture Investing. Corporate Governance Today, May. pp. 37-41.
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Hellmann, Thomas (1997) Venture Capital: A Challenge for Commercial Banks. The Journal of Private Equity, 1 (1). pp. 49-55.
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Hellmann, Thomas (2007) When Do Employees Become Entrepreneurs? Management Science, 53 (6). pp. 919-933.
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Hellmann, Thomas (2007) The role of patents for bridging the science to market gap. Journal of Economic Behavior & Organization, 63 (4). pp. 624-647. Link to full text available through this repository.
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Hellmann, Thomas (2002) A theory of strategic venture investing. Journal of Financial Economics, 64 (2). pp. 285-314. Link to full text available through this repository.
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Hellmann, Thomas, Lindsey, Laura and Puri, Manju (2008) Building Relationships Early: Banks in Venture Capital. The Review of Financial Studies, 21 (2). pp. 513-541. Link to full text available through this repository.
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Hellmann, Thomas, Murdock, Kevin and Stiglitz, Joseph (2000) Liberalization, Moral Hazard in Banking, and Prudential Regulation: Are Capital Requirements Enough? American Economic Review, 90 (1). pp. 147-165. Link to full text available through this repository.
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Hellmann, Thomas and Perotti, Enrico (2011) The Circulation of Ideas in Firms and Markets. Management Science, 57 (10). pp. 1813-1826. Link to full text available through this repository.
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Hellmann, Thomas and Puri, Manju (2002) On the Fundamental Role of Venture Capital. Economic Review, 87 (4). pp. 19-23. Link to full text available through this repository.
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Hellmann, Thomas and Puri, Manju (2002) Venture Capital and the Professionalization of Start-Up Firms: Empirical Evidence. Journal of Finance, 57 (1). pp. 169-197. Link to full text available through this repository.
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Hellmann, Thomas and Puri, Manju (2000) The interaction between product market and financing strategy: the role of venture capital. Review of Financial Studies, 13 (4). pp. 959-984. Link to full text available through this repository.
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Hellmann, Thomas and Stern, Scott (2009) Introduction to the Special Issue on Economics and Strategy of Entrepreneurship. Journal of Economics and Management Strategy, 18 (3). pp. 615-621.
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Hellmann, Thomas and Stiglitz, Joseph (2000) Credit and equity rationing in markets with adverse selection. European Economic Review, 44. pp. 281-304. Link to full text available through this repository.
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Hellmann, Thomas and Thiele, Veikko (2015) Contracting Among Founders. Journal of Law, Economics and Organization, 31 (3). pp. 629-661. Link to full text available through this repository.
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Hellmann, Thomas and Thiele, Veikko (2015) Friends or foes? The interrelationship between angel and venture capital markets. Journal of Financial Economics, 115 (3). pp. 639-653.
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Hellmann, Thomas and Thiele, Veikko (2011) Incentives and Innovation: A Multitasking Approach. American Economic Journal: Microeconomics, 3 (1). pp. 78-128. Link to full text available through this repository.
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Hellmann, Thomas and Thiele, Veikko (2017) Partner Uncertainty and the Dynamic Boundary of the Firm. American Economic Journal: Microeconomics. (Accepted)
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Hellmann, Thomas and Wasserman, Noam (2016) The First Deal: The Division of Founder Equity in New Ventures. Management Science.
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Hellmann, Thomas and Wasserman, Noam (2016) The Very First Mistake Most Startup Founders Make. Harvard Business Review. Link to full text available through this repository.
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Helm, Dieter and Jenkinson, Tim (1997) Introducing Competition into Regulated Industries. Oxford Review of Economic Policy, 13 (1). pp. 1-14. Link to full text available through this repository.
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Helm, Dieter and Mayer, Colin (2016) Infrastructure: why it is under provided and badly managed. Oxford Review of Economic Policy, 32 (3). pp. 343-359. Link to full text available through this repository.
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Helm, Dieter, Mayer, Colin and Mayhew, Ken (1991) The Assessment: Microeconomic Policy in the 1980s. Oxford Review of Economic Policy, 7 (3). pp. 1-12. Link to full text available through this repository.
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Hilscher, Jens and Wilson, Mungo (2016) Credit ratings and credit risk: Is one measure enough? Management Science. Link to full text available through this repository.
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Hurkens, Sjaak and Vulkan, Nir (2006) Endogenous Private Information Structures. European Economic Review, 50 (1). pp. 35-54. Link to full text available through this repository.
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Hurkens, Sjaak and Vulkan, Nir (2003) Free Entry does not Imply Zero Profits. Economics Letters, 81 (3). pp. 285-290. Link to full text available through this repository.
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Hurkens, Sjaak and Vulkan, Nir (2001) Information Acquisition and Entry. Journal of Economic Behavior & Organization, 44 (4). pp. 467-479. Link to full text available through this repository.
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Hutton, Will, Mayer, Colin and Schneider, Philippe (2017) The Rights and Wrongs of Shareholder Rights. Seattle University Law Review, 40 (2). pp. 375-397. Full text availability may be restricted.
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Ignatyeva, Elena, Rauch, Christian and Wahrenburg, Mark (2013) Analyzing European SPACs. The Journal of Private Equity, 17 (1). pp. 64-79. Link to full text available through this repository.
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Imbierowicz, Bjorn and Rauch, Christian (2014) The Relationship between Liquidity Risk and Credit Risk in Banks. Journal of Banking & Finance, 40 (1). pp. 242-256. Link to full text available through this repository.
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Jadevicius, Arvydas, Huston, Simon, Baum, Andrew and Butler, Allan Two Centuries of Farmland Prices in England. Journal of Property Research. Full text availability may be restricted.
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James, Choi, Jin, Li and Yan, Hongjun (2013) What does stock ownership breadth measure. Review of Finance, 17 (4). pp. 1239-1278. Link to full text available through this repository.
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Jenkinson, Tim (1993) The Cost of Equity Finance: Conventional Wisdom Reconsidered. Stock Exchange Quarterly. pp. 23-27. Full text not available from this repository.
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Jenkinson, Tim (1998) The Equity Risk Premium: Another Look at History. The Utilities Journal. pp. 14-16. Full text not available from this repository.
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Jenkinson, Tim (1990) Inflation Policy. Oxford Review of Economic Policy, 6 (4). pp. 1-15. Link to full text available through this repository.
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Jenkinson, Tim (1990) Initial Public Offerings in the United Kingdom, the United States, and Japan. Journal of the Japanese and International Economies, 4 (4). pp. 428-449. Link to full text available through this repository.
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Jenkinson, Tim (1987) The Natural Rate of Unemployment - Does it Exist? Oxford Review of Economic Policy, 3 (3). pp. 20-26. Link to full text available through this repository.
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Jenkinson, Tim (2003) Private finance. Oxford Review of Economic Policy, 19 (2). pp. 323-334. Link to full text available through this repository.
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Jenkinson, Tim (1999) Real interest rates and the cost of capital. Oxford Review of Economic Policy, 15 (2). pp. 114-127. Link to full text available through this repository.
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Jenkinson, Tim (1992) Regulating Hostile Takeovers in the European Community. Stock Exchange Quarterly, Spring. Full text not available from this repository.
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Jenkinson, Tim (1986) Testing Neo-Classical Theories of Labour Demand: An Application of Cointegration Techniques. Oxford Bulletin of Economics and Statistics, 48 (3). pp. 241-251. Link to full text available through this repository.
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Jenkinson, Tim (2001) When Debt Turned into Equity. The Utilities Journal. p. 14. Full text not available from this repository.
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Jenkinson, Tim and Espenlaub, Susanne (1991) Cost of Capital Raising on the Unlisted Securities Market. Stock Exchange Quarterly, Autumn. pp. 7-11. Full text not available from this repository.
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Jenkinson, Tim, Harris, Robert and Kaplan, Steven (2016) How Do Private Equity Investments Perform Compared to Public Equity? Journal of Investment Management, 14 (3). pp. 1-24. Full text not available from this repository.
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Jenkinson, Tim, Harris, Robert, Kaplan, Steven and Stucke, Ruediger (2017) Financial Intermediation in Private Equity: How Well do Funds of Funds Perform? Journal of Financial Economics (Forthcoming). Full text availability may be restricted.
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Jenkinson, Tim and Jones, Howard (2004) The Bookbuilding Debate. Capital Ideas, January 2007. Full text not available from this repository.
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Jenkinson, Tim and Jones, Howard (2009) IPO pricing and allocation: a survey of the views of institutional investors. The Review of Financial Studies, 22 (4). pp. 1477-1504. Link to full text available through this repository.
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Jenkinson, Tim and Jones, Howard (2007) The economics of IPO stabilization, syndicates and naked shorts. European Financial Management, 13 (4). pp. 616-642. Link to full text available through this repository.
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Jenkinson, Tim, Jones, Howard and Martinez, Jose Vicente (2016) Picking Winners? Investment Consultants' Recommendations of Fund Managers. The Journal of Finance, 71 (5). pp. 2333-2370. Link to full text available through this repository.
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Jenkinson, Tim, Jones, Howard and Suntheim, Felix (2017) Quid Pro Quo? What Factors Influence IPO Allocations to Investors? The Journal of Finance (Forthcoming). (Accepted)
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Jenkinson, Tim and Ljungqvist, Alexander P. (2001) Hostile stakes and the role of banks in German corporate governance. Journal of Corporate Finance, 7 (4). pp. 397-446. Link to full text available through this repository.
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Jenkinson, Tim and Mayer, Colin (1996) Contracts and Competition. Oxford Review of Economic Policy, 12 (4). pp. 1-10. Link to full text available through this repository.
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Jenkinson, Tim and Mayer, Colin (1992) Corporate Governance and Corporate Control. Oxford Review of Economic Policy, 8 (3). pp. 1-10. Link to full text available through this repository.
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Jenkinson, Tim and Mayer, Colin (1988) The Privatisation Process in France and the U.K. European Economic Review, 32 (2-3). pp. 482-490. Link to full text available through this repository.
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Jenkinson, Tim, Morrison, Alan and Wilhelm, William (2006) Why are European IPOs so rarely priced outside the indicative price range? Journal of Financial Economics, 80 (1). pp. 185-209. Link to full text available through this repository.
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Jenkinson, Tim and Ramadorai, Tarun (2013) Does One-Size-Fit-All? The Consequences of Switching Markets with Different Regulatory Standards. European Financial Management, 19 (5). pp. 852-886. Link to full text available through this repository.
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Jenkinson, Tim and Sousa, Miguel (2015) What Determines the Exit Decision for Leveraged Buyouts? Journal of Banking and Finance, 59. pp. 399-408. Full text availability may be restricted.
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Jenkinson, Tim and Sousa, Miguel (2009) Why SPAC Investors Should Listen to the Market. Journal of Applied Finance, 21 (2). pp. 38-57. Full text not available from this repository.
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Jenkinson, Tim and Trundle, J (1990) New Equity Issues in the UK: An Analysis of Market Performance. Bank of England Quarterly Bulletin, 30 (2). pp. 243-252. Full text not available from this repository.
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Jin, Li (2002) CEO Compensation, Diversification and Incentives. Journal of Financial Economics, 66 (1). pp. 29-63. Link to full text available through this repository.
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Jin, Li (2006) Capital Gain Tax Overhang and Price Pressure. The Journal of Finance, 61 (3). pp. 1399-1430. Link to full text available through this repository.
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Jin, Li and Kothari, S.P. (2008) Effect of personal taxes on managers’ decisions to sell their stock. Journal of Accounting and Economics, 46 (1). pp. 23-46. Link to full text available through this repository.
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Jin, Li, Merton, Robert C. and Bodie, Zvi (2006) Do a Firm’s Equity Returns Reflect the Risk of Its Pension Plan? Journal of Financial Economics, 81 (1). pp. 1-26. Link to full text available through this repository.
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Jin, Li and Myers, Stewart C. (2006) R-squared Around the World: New Theory and New Tests. Journal of Financial Economics, 79 (2). pp. 257-292. Link to full text available through this repository.
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Jin, Li and Scherbina, Anna (2011) Inheriting Losers. The Review of Financial Studies, 24 (3). pp. 786-820. Link to full text available through this repository.
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Jones, Howard (2003) Analysis Paralysis: Is investment research in integrated banks a case of synergy or chicanery? Business at Oxford. Full text not available from this repository.
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Jones, Howard (2007) Are banks profiteering in IPOs? Professional Investor, 17 (8). pp. 40-42. Full text not available from this repository.
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Jones, Howard (2002) Breaking up the banks. The Financial Times, 27th August 2002. Full text not available from this repository.
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Jones, Howard (2007) Business at Oxford: IPOs have hidden costs for issuers. Mint, 3rd Sep 2007. Link to full text available through this repository.
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Jones, Howard (2003) The FSA needs to focus on research quality. The Financial Times, 01/10/03. Full text not available from this repository.
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Jones, Howard (2003) Google can find a way to price its shares fairly. The Financial Times, 3rd November 2003. Full text not available from this repository.
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Jones, Howard (2004) Google empowers the end-investor. The Financial Times, 28th June 2004. Full text not available from this repository.
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Jones, Howard (2000) IPOs von Töchtern sind in Mode gekommen. Börsen-Zeitung. Full text not available from this repository.
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Jones, Howard (2009) Keeping them honest? An analysis of competitive IPOs. International Financing Review. Full text not available from this repository.
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Jones, Howard and Jenkinson, Tim (2004) Bids and Allocations in European IPO Bookbuilding. The Journal of Finance, 59 (5). pp. 2309-2338. Link to full text available through this repository.
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Jones, Howard and Jenkinson, Tim (2009) Competitive IPOs. European Financial Management, 15 (4). pp. 733-756. Link to full text available through this repository.
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Jones, Howard and Martinez, Jose Vicente (2016) Institutional Investor Expectations, Manager Performance, and Fund Flows. The Journal of Financial and Quantitative Analysis (Forthcoming). (Accepted) Full text not available from this repository.
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Jones, Howard and Stucke, Ruediger (2013) A Cheaper Way to Do IPOs. Harvard Business Review, November 2013. Link to full text available through this repository.
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Josephson, Jens and Shapiro, Joel (2016) Costly Interviews. International Journal of Industrial Organization, 45. pp. 10-15. Full text availability may be restricted.
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Jotikasthira, Chotibhak, Lundblad, Christian and Ramadorai, Tarun (2012) Asset fire sales and purchases and the international transmission of funding shocks. The Journal of Finance, 67 (6). pp. 2015-2050. Link to full text available through this repository.
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Kahraman, Bige, Choi, Darwin and Mukherjee, Abhiroop (2016) Learning About Mutual Fund Managers. The Journal of Finance. Link to full text available through this repository.
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Kahraman, Bige and Giannetti, Mariassunta (2017) Open-end organizational structures and limits to arbitrage. The Review of Financial Studies. (Accepted) Full text availability may be restricted.
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Kahraman, Bige and Tookes, Heather (2016) Trader leverage and liquidity. Journal of Finance. pp. 1-44. Full text availability may be restricted.
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Kashyap, Anil, Tsomocos, Dimitrios and Vardoulakis, Alexandros (2014) Principles for macroprudential regulation. Financial Stability Review, 18. pp. 173-181. Link to full text available through this repository.
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Khanna, Naveen, Noe, Thomas and Sonti, Ramana (2007) Good IPOs draw in bad: Inelastic banking capacity and hot markets. The Review of Financial Studies, 21 (5). pp. 1873-1906. Link to full text available through this repository.
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Khezri, Bijan and Jones, Howard (2011) Internet Wars: Version 2.0. The Wall Street Journal, 5th Aug 2011. Full text not available from this repository.
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Khorana, Ajay, Servaes, Henri and Tufano, Peter (2009) Mutual Fund Fees Around the World. The Review of Financial Studies, 22 (3). pp. 1279-1310. Link to full text available through this repository.
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Koch, Christoffer and Okamura, Ken (2017) Why Does the FDIC Sue? Journal of Corporate Finance. Full text availability may be restricted.
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Kugler, Tamar, Neeman, Zvika and Vulkan, Nir (2006) Markets versus Negotiations: An Experimental Investigation. Games and Economic Behaviour, 56 (1). pp. 121-134. Link to full text available through this repository.
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Kugler, Tamar, Neeman, Zvika and Vulkan, Nir (2014) Personality traits and strategic behavior: Anxiousness and aggressiveness in entry games. Journal of Economic Psychology, 42. pp. 136-147. Link to full text available through this repository.
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Lee, Jong Han, Ryu, Jaemin and Tsomocos, Dimitrios (2013) Measures of systemic risk and financial fragility in Korea. Annals of Finance, 9 (4). pp. 757-786. Link to full text available through this repository.
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Lerner, Josh and Tufano, Peter (2011) The Consequences of Financial Innovation: A Counterfactual Research Agenda. Annual Review of Financial Economics, 3. pp. 41-85. Link to full text available through this repository.
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Lins, Karl V., Servaes, Henri and Tufano, Peter (2010) What drives corporate liquidity? An international survey of cash holdings and lines of credit. Journal of Financial Economics, 98 (1). pp. 160-176. Link to full text available through this repository.
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Lipschitz, Leslie, Rochon, Céline and Verdier, Geneviève (2011) A real model of transitional growth and competitiveness in China. Journal of Asian Economics, 22 (4). pp. 267-283. Link to full text available through this repository.
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Lizieri, Colin, Marcato, Gianluca, Ogden, Paul and Baum, Andrew (2012) Pricing Inefficiencies in Private Real Estate Markets: Using Total Return Swaps. The Journal of Real Estate Finance and Economics, 45 (3). pp. 774-803. Full text not available from this repository.
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Ljungqvist, Alexander P., Jenkinson, Tim and Wilhelm, William (2003) Global integration in primary equity markets: the role of U.S. banks and U.S. investors. The Review of Financial Studies, 16 (1). pp. 63-99. Link to full text available through this repository.
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Lopez-de-Silanes, Florencio, Phalippou, Ludovic and Gottschalg, Oliver (2015) Giants at the Gate: Investment Returns and Diseconomies of Scale in Private Equity. Journal of Financial and Quantitative Analysis, 50 (3). pp. 377-411. Link to full text available through this repository.
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Loranth, Gyöngyi and Morrison, Alan (2007) Deposit Insurance, Capital Regulations, and Financial Contagion in Multinational Banks. Journal of Business Finance & Accounting, 34 (5-6). pp. 917-949. Link to full text available through this repository.
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Lusardi, Annamaria, Schneider, Daniel and Tufano, Peter (2015) The Economic Crisis and Medical Care Usage. Social Science Quarterly, 96 (1). pp. 202-213. Link to full text available through this repository.
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Lusardi, Annamaria and Tufano, Peter (2015) Debt Literacy, Financial Experiences, and Overindebtedness. Journal of Pension Economics and Finance, 14 (4). pp. 332-368. Link to full text available through this repository.
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Machek, O, Smrčka, L, Hnilica, J, Arltova, M and Tsomocos, Dimitrios (2014) General Equilibrium Analysis of the Czech Financial Market and a Financial Fragility Model. Politická Ekonomie, 62 (4). pp. 437-458. Full text not available from this repository.
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Maffini, Giorgia (2015) Business taxation under the coalition government. The Tax Journal, 25th April 2015. Link to full text available through this repository.
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Martinez, Jose Vicente (2011) Information Misweighting and the Cross-Section of Stock Recommendations. Journal of Financial Markets, 14 (4). pp. 515-539. Link to full text available through this repository.
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Martinez, Jose Vicente and Sandleris, Guido (2011) Is it Punishment? Sovereign Defaults and the Decline in Trade. Journal of International Money and Finance, 30 (6). pp. 909-930. Link to full text available through this repository.
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Martinez, Juan Francisco and Tsomocos, Dimitrios (2016) Liquidity and default in an exchange economy. Journal of Financial Stability. Full text availability may be restricted.
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Mayer, Colin (1999) The Assessment: Financial Instability. Oxford Review of Economic Policy, 15 (3). pp. 1-8. Link to full text available through this repository.
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Mayer, Colin (1987) The Assessment: Financial Systems and Corporate Investment. Oxford Review of Economic Policy, 3 (4). Link to full text available through this repository.
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Mayer, Colin (1997) The City and Corporate Performance: Condemned or Exonerated? Cambridge Journal of Economics, 21 (2). pp. 291-302. Full text not available from this repository.
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Mayer, Colin (2000) Corporate Governance in the UK. Hume Papers on Public Policy, 8 (1). pp. 1-9. Full text not available from this repository.
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Mayer, Colin (1996) Corporate Governance, Competition and Performance. OECD Journal: Economic Studies, 27. pp. 7-34. Link to full text available through this repository.
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Mayer, Colin (1997) Corporate Governance, Competition, and Performance. Journal of Law and Society, 24 (1). pp. 152-176. Link to full text available through this repository.
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Mayer, Colin (2003) Corporate Governance: A Policy for Europe. Swiss Journal of Economics and Statistics, 139 (3). pp. 287-297. Link to full text available through this repository.
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Mayer, Colin (1986) Corporation Tax, Finance and the Cost of Capital. The Review of Economic Studies, 53 (1). pp. 93-112. Link to full text available through this repository.
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Mayer, Colin (1999) European capital markets: Competition between systems. European Investment Bank Papers, 4 (1). pp. 47-57. Full text not available from this repository.
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Mayer, Colin (1986) Financial Innovation: Curse or Blessing? Oxford Review of Economic Policy, 2 (4). pp. 1-17. Link to full text available through this repository.
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Mayer, Colin (1998) Financial Systems and Corporate Governance: A Review of the International Evidence. Journal of Institutional and Theoretical Economics, 154 (1). pp. 144-165. Link to full text available through this repository.
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Mayer, Colin (2002) Financing the New Economy: financial institutions and corporate governance. Information Economics and Policy, 14 (2). pp. 311-326. Link to full text available through this repository.
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Mayer, Colin (2013) How to avoid implementing today's wrong policies to solve yesterday's corporate governance problems. University of Pennsylvania Law Review, 161 (7). pp. 1989-2003. Link to full text available through this repository.
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Mayer, Colin (1994) Money and Banking: Theory and Evidence. Oxford Review of Economic Policy, 10 (4). pp. 1-13. Link to full text available through this repository.
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Mayer, Colin (1988) The Real Value of Company Accounts. Fiscal Studies, 9 (1). pp. 1-17. Link to full text available through this repository.
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Mayer, Colin (1985) Recent Developments in Industrial Economics and their Implications for Policy. Oxford Review of Economic Policy, 1 (3). pp. 1-24. Link to full text available through this repository.
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Mayer, Colin (2016) Reinventing the corporation. Journal of the British Academy (4). pp. 53-72.
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Mayer, Colin (2017) Who’s responsible for irresponsible business? Oxford Review of Economic Policy, 33 (2). pp. 157-175. Full text availability may be restricted.
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Mayer, Colin and Alexander, Ian (1990) Banks and Securities Markets: Corporate Financing in Germany and the UK. Journal of the Japanese and International Economies, 4 (4). pp. 450-475. Link to full text available through this repository.
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Mayer, Colin, Armour, John and Polo, Andrea (2016) Regulatory sanctions and reputational damage in financial markets. Journal of Finance and Quantitative Analysis. pp. 1-20. Link to full text available through this repository.
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Mayer, Colin and Carlin, Wendy (2003) Finance, Investment and Growth. Journal of Financial Economics, 69 (1). pp. 191-226. Link to full text available through this repository.
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Mayer, Colin and Carlin, Wendy (2002) International Evidence on Corporate Governance: Lessons for Developing Countries. Journal of African Economies, 11 (1). pp. 37-59. Link to full text available through this repository.
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Mayer, Colin and Carlin, Wendy (2000) International Evidence on Corporate Governance: Lessons for Developing Countries. Abante, 2 (2). pp. 133-160. Full text not available from this repository.
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Mayer, Colin and Collier, Paul (1989) Financial Liberalisation, Financial Systems and Economic Development. Oxford Review of Economic Policy, 5 (4). pp. 1-12. Link to full text available through this repository.
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Mayer, Colin and Collier, Paul (1986) An Investigation of University Selection Procedures. The Economic Journal, 96 (Supplement). pp. 163-170. Link to full text available through this repository.
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Mayer, Colin and Edwards, Jeremy (1991) Leasing and the Cost of Capital. Journal of Public Economics, 44 (2). pp. 173-197. Link to full text available through this repository.
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Mayer, Colin and Franks, Julian (1998) Bank Control, Takeovers and Corporate Governance in Germany. Journal of Banking & Finance, 22 (10-11). pp. 1385-1403. Link to full text available through this repository.
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Mayer, Colin and Franks, Julian (1990) Capital requirements and investor protection: an international perspective. National Westminster Bank Quarterly Review, 7 (5). pp. 69-85. Full text not available from this repository.
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Mayer, Colin and Franks, Julian (1996) Hostile Takeovers and the Correction of Managerial Failure. Journal of Financial Economics, 40 (1). pp. 163-181. Link to full text available through this repository.
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Mayer, Colin and Franks, Julian (2001) Ownership and Control of German Corporations. The Review of Financial Studies, 14 (4). pp. 943-977. Link to full text available through this repository.
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Mayer, Colin, Franks, Julian and Renneboog, Luc (2001) Who Disciplines Management in Poorly Performing Companies? Journal of Financial Intermediation, 10 (3/4). pp. 209-248. Link to full text available through this repository.
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Mayer, Colin, Franks, Julian, Volpin, Paolo and Wagner, Hannes (2012) The Life Cycle of Family Ownership: International Evidence. The Review of Financial Studies, 25 (6). pp. 1675-1712. Link to full text available through this repository.
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Mayer, Colin, Franks, Julian and Wagner, Hannes (2015) Survival of the weakest: Flourishing family firms in Germany. Journal of Applied Corporate Finance, 27 (4). pp. 27-35. Link to full text available through this repository.
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Mayer, Colin and Kay, John (1986) On the Application of Accounting Rates of Return. The Economic Journal, 96 (381). pp. 199-207. Link to full text available through this repository.
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Mayer, Colin and Meadowcroft, Shirley (1985) Selling Public Assets: Techniques and Financial Implications. Fiscal Studies, 6 (4). pp. 42-56. Link to full text available through this repository.
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Mayer, Colin and Sussman, Oren (2001) The Assessment: Finance, Law and Growth. Oxford Review of Economic Policy, 17 (4). pp. 457-466. Link to full text available through this repository.
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Mayer, Colin and Vickers, John (1996) Profit Sharing Regulation: An Economic Appraisal. Fiscal Studies, 17 (1). pp. 1-18. Link to full text available through this repository.
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Meyer-Viol, W.P.M. and Jones, Howard (2011) Reference time and the English past tenses. Linguistics and Philosophy, 34 (3). pp. 223-256. Link to full text available through this repository.
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Morrison, Alan (2004) Banking Licences, Bailouts and Regulator Ability. Scottish Journal of Political Economy, 51 (4). pp. 559-579. Link to full text available through this repository.
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Morrison, Alan (2004) Competition and Information Production in Market Maker Models. Journal of Business Finance & Accounting, 31 (7-8). pp. 1171-1190. Link to full text available through this repository.
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Morrison, Alan (2005) Credit Derivatives, Disintermediation, and Investment Decisions. The Journal of Business (Chicago), 78 (2). pp. 621-648. Link to full text available through this repository.
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Morrison, Alan (2003) The Economics of Capital Regulation in Financial Conglomerates. The Geneva Papers on Risk and Insurance - Issues and Practice, 28 (3). pp. 521-533. Link to full text available through this repository.
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Morrison, Alan (2010) Knowledge Codification, Institutions and Financial Markets. The Manchester School, 78 (SUP1). pp. 1-24. Link to full text available through this repository.
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Morrison, Alan (2004) Life Insurance: Regulation as Contract Enforcement. Economic Affairs, 24 (4). pp. 47-52. Link to full text available through this repository.
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Morrison, Alan (2011) Systemic Risks and the ‘Too-Big-to-Fail’ Problem. Oxford Review of Economic Policy, 27 (3). pp. 498-516. Link to full text available through this repository.
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Morrison, Alan and Booth, Philip (2007) Regulatory Competition and Life Insurance Solvency Regulation. North American Actuarial Journal, 11 (4). pp. 23-41. Link to full text available through this repository.
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Morrison, Alan, Laux, Christian and Loranth, Gyöngyi (2017) The Adverse Effect of Information on Governance and Leverage. Management Science. pp. 1-18. Full text availability may be restricted.
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Morrison, Alan and Loranth, Gyöngyi (2012) Tying in Universal Banks. Review of Finance, 16 (2). pp. 481-516. Link to full text available through this repository.
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Morrison, Alan and Vulkan, Nir (2005) Making Money out of Publicly Available Information. Economics Letters, 89 (1). pp. 31-38. Link to full text available through this repository.
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Morrison, Alan and White, Lucy (2005) Crises and Capital Requirements in Banking. The American Economic Review, 95 (5). pp. 1548-1572. Link to full text available through this repository.
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Morrison, Alan and White, Lucy (2011) Deposit Insurance and Subsidized Recapitalizations. Journal of Banking & Finance, 35 (12). pp. 3400-3416. Link to full text available through this repository.
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Morrison, Alan and White, Lucy (2009) Level Playing Fields in International Financial Regulation. The Journal of Finance, 64 (3). pp. 1099-1142. Link to full text available through this repository.
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Morrison, Alan and White, Lucy (2013) Reputational contagion and Optimal Regulatory Forbearance. Journal of Financial Economics, 110 (3). pp. 642-658. Link to full text available through this repository.
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Morrison, Alan and Wilhelm, William (2008) The Demise of Investment Banking Partnerships: Theory and Evidence. The Journal of Finance, 63 (1). pp. 311-350. Link to full text available through this repository.
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Morrison, Alan and Wilhelm, William (2007) Investment Banking: Past, Present, and Future. Journal of Applied Corporate Finance, 19 (1). pp. 42-54. Link to full text available through this repository.
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Morrison, Alan and Wilhelm, William (2015) Opacity, Complexity, and Self Regulation in Investment Banking. George Washington Law Review (83). pp. 1-22. Link to full text available through this repository.
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Morrison, Alan and Wilhelm, William (2004) Partnership Firms, Reputation, and Human Capital. The American Economic Review, 94 (5). pp. 1682-1692. Link to full text available through this repository.
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Morrison, Alan and Wilhelm, William (2015) Trust, reputation and law: the evolution of commitment in investment banking. Journal of Legal Analysis, 7 (2). pp. 363-420. Full text not available from this repository.
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Morrison, Alan, Wilhelm, William and Chen, Zhaohui (2014) Another Look at Bookbuilding, Auctions, and the Future of the IPO Process. Journal of Applied Corporate Finance, 26 (2). pp. 19-29. Link to full text available through this repository.
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Naik, Narayan, Ramadorai, Tarun and Stromqvist, Maria (2007) Capacity constraints and hedge fund strategy returns. European Financial Management, 13 (2). pp. 239-256. Link to full text available through this repository.
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Neeman, Zvika and Vulkan, Nir (2010) Markets versus Negotiations: The Predominance of Centralized Markets. The B.E. Journal of Theoretical Economics, 10 (1). Link to full text available through this repository.
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Neumann, Manfred, Emerson, Michael, Mayer, Colin and Breyer, Stephen (1989) The Appropriate Level of Regulation in Europe: Local, National or Community-Wide?: A Roundtable Discussion. Economic Policy, 4 (2). pp. 467-481. Link to full text available through this repository.
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Noe, Thomas (1988) Capital structure and signaling game equilibria. The Review of Financial Studies, 1 (4). pp. 331-355. Link to full text available through this repository.
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Noe, Thomas (2000) Corporate Finance, Incentives, and Strategy. Financial Review, 35 (4). pp. 1-8. Link to full text available through this repository.
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Noe, Thomas Does activism pay off for shareholders? Shareholder democracy and is discontents. Management Science. (Accepted) Full text availability may be restricted.
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Noe, Thomas (1997) Insider trading and the problem of corporate agency. Journal of Law, Economics, & Organization, 13 (2). pp. 287-318. Full text not available from this repository.
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Noe, Thomas (2002) Investor activism and financial market structure. The Review of Financial Studies, 15 (1). pp. 289-318. Link to full text available through this repository.
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Noe, Thomas (1998) Rationalizable and coalition proof shareholder tendering strategies in corporate takeovers. Review of Quantitative Finance and Accounting, 11 (3). pp. 269-291. Link to full text available through this repository.
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Noe, Thomas (1997) Review of "The Theory of Corporate Finance". The Journal of Finance, 52 (2). pp. 903-910. Link to full text available through this repository.
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Noe, Thomas (1995) Takeovers of diffusely held firms: A nonstandard approach. Mathematical Finance, 5 (3). pp. 247-277. Link to full text available through this repository.
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Noe, Thomas (2009) Tunnel-proofing the executive suite: transparency, temptation, and the design of executive compensation. The Review of Financial Studies, 22 (12). pp. 4849-4880. Link to full text available through this repository.
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Noe, Thomas, Badrinath, SG and Kale, Jayant R (1995) Of shepherds, sheep, and the cross-autocorrelations in equity returns. The Review of Financial Studies, 8 (2). pp. 401-430. Link to full text available through this repository.
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Noe, Thomas, Badrinath, SG and Kale, Jayant R (1993) Segmented markets, differential information, and asset return dynamics. International Review of Economics & Finance, 2 (3). pp. 287-292. Link to full text available through this repository.
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Noe, Thomas and Eisenberg, Larry (2001) Systemic risk and financial market structure. Management Science, 47 (2). pp. 236-249. Link to full text available through this repository.
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Noe, Thomas, Evans, Jocelyn and Thornton, John (1997) Regulatory distortion of management compensation: The case of golden parachutes for bank managers. Journal of Banking & Finance, 21 (6). pp. 825-848. Link to full text available through this repository.
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Noe, Thomas, Gay, Gerald and Kale, Jayant R (1996) (Dutch) Auction Share Repurchases. Economica, 63 (249). pp. 57-80. Link to full text available through this repository.
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Noe, Thomas, Gay, Gerald and Kale, Jayant R (1991) Share repurchases mechanisms: a comparative analysis of efficacy, shareholder wealth, and corporate control effects. Financial Management, 20 (1). pp. 44-59. Full text not available from this repository.
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Noe, Thomas, Gay, Gerald and Kale, Jayant R (1989) Share repurchases through transferable put rights: theory and case study. Journal of Financial Economics, 25 (1). pp. 141-160. Link to full text available through this repository.
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Noe, Thomas, Gay, Gerald, Kale, Jayant R and Grace, Martin (1989) Noisy juries and choice of trial mode in a sequential signaling model: theory and evidence. RAND Journal of Economics, 20 (2). pp. 196-213. Full text not available from this repository.
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Noe, Thomas, Gay, Gerald, Kolb, Robert and Kale, Jayant R (1994) (Micro) fads in asset prices: evidence from the futures market. The Journal of Futures Markets, 14 (6). pp. 637-659. Link to full text available through this repository.
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Noe, Thomas, Goswami, Gautam and Rebello, Michael (1997) Cash flows and debt maturity. Economica, 64 (254). pp. 303-316. Link to full text available through this repository.
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Noe, Thomas, Goswami, Gautam and Rebello, Michael (1995) Debt-financing under asymmetric information. The Journal of Finance, 50 (2). pp. 633-659. Link to full text available through this repository.
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Noe, Thomas, Goswami, Gautam and Rebello, Michael (1993) Time series properties of cash flows and debt maturity choice (Abstracts of papers presented at the 1993 AFA Meetings). The Journal of Finance, 48 (3). pp. 1088-1089. Link to full text available through this repository.
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Noe, Thomas and Hu, Jie (1997) The Debate on Insider Trading. Federal Reserve Bank of Atlanta. Economic Review, 82 (4). pp. 34-45. Link to full text available through this repository.
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Noe, Thomas and Hu, Jie (2001) Insider trading, costly monitoring, and managerial incentives. Journal of Banking & Finance, 25 (4). pp. 681-716. Link to full text available through this repository.
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Noe, Thomas and Jayaraman, Narayanan (1991) Stock authorizations: A sequential equilibrium analysis. Review of Quantitative Finance and Accounting, 1 (4). pp. 383-398. Link to full text available through this repository.
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Noe, Thomas and Jeong, Jinho (1993) The impact of dual-class creation on shareholder wealth. Corporate Governance: An International Review, 1 (3). pp. 138-140. Link to full text available through this repository.
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Noe, Thomas and Kale, Jayant R (1990) Corporate hedging under personal and corporate taxation. Managerial and Decision Economics, 11 (3). pp. 199-205. Link to full text available through this repository.
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Noe, Thomas and Kale, Jayant R (1991) Debt-equity choice under asymmetric information. Economics Letters, 35 (2). pp. 215-219. Link to full text available through this repository.
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Noe, Thomas and Kale, Jayant R (1995) Dilution costs and utility regulation under asymmetric information. Journal of Regulatory Economics, 7 (2). pp. 177-197. Link to full text available through this repository.
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Noe, Thomas and Kale, Jayant R (1990) Dividends, uncertainty, and underwriting costs under asymmetric information. The Journal of Financial Research, 13 (4). pp. 265-277. Full text not available from this repository.
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Noe, Thomas and Kale, Jayant R (1990) Risky debt maturity choice in a sequential game equilibrium. The Journal of Financial Research, 13 (2). pp. 155-165. Full text not available from this repository.
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Noe, Thomas and Kale, Jayant R (1992) Taxes, financial distress, and corporate capital structure. Quarterly Review of Economics and Finance, 32 (1). pp. 71-83. Full text not available from this repository.
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Noe, Thomas and Kale, Jayant R (1997) Unconditional and conditional takeover offers: theory and experimental evidence. The Review of Financial Studies, 10 (3). pp. 735-766. Link to full text available through this repository.
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Noe, Thomas, Kale, Jayant R and Ramirez, Gabriel (1991) The effect of business risk on corporate capital structure: Theory and evidence. The Journal of Finance, 46 (5). pp. 1693-1715. Link to full text available through this repository.
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Noe, Thomas, Meng, Miao and Guanjie, Niu (2017) Lending without creditor rights, collateral, or reputation - the “trusted-assistant” loan in 19th century China. BOFIT Discussion Papers, 13.
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Noe, Thomas and Nachman, David (1995) Operating efficiency and output insensitive employment contracts for capital management. Economic Theory, 5 (2). pp. 315-335. Link to full text available through this repository.
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Noe, Thomas and Nachman, David (1994) Optimal design of securities under asymmetric information. The Review of Financial Studies, 7 (1). pp. 1-44. Link to full text available through this repository.
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Noe, Thomas and Parker, Geoffrey (2005) Winner take all: Competition, strategy, and the structure of returns in the internet economy. Journal of Economics & Management Strategy, 14 (1). pp. 141-164. Link to full text available through this repository.