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Number of items: 9.
Journal Article
Anginer, Deniz, Demirgüç-Kunt, Asli, Huizinga, Harry and Ma, Kebin (2018) Corporate governance of banks and financial stability. Journal of Financial Economics, 130 (2). pp. 327-246. doi:10.1016/j.jfineco.2018.06.011
Bartram, Söhnke M. (2018) In good times and in bad : defined-benefit pensions and corporate financial policy. Journal of Corporate Finance, 48 . pp. 331-351. doi:10.1016/j.jcorpfin.2017.10.015
Bartram, Söhnke M. and Grinblatt, Mark (2018) Agnostic fundamental analysis works. Journal of Financial Economics, 128 (1). pp. 125-147. doi:10.1016/j.jfineco.2016.11.008
Cuñat, Vicente, Cvijanović, Dragana and Yuan, Kathy (2018) Within-bank spillovers of real estate shocks. Review of Corporate Finance Studies, 7 (2). pp. 157-193. doi:10.1093/rcfs/cfy001
Gantchev, Nickolay and Jotikasthira, Chotibhak (2018) Institutional trading and hedge fund activism. Management Science, 64 (6). pp. 2930-2950. doi:10.1287/mnsc.2016.2654
Gospodinov, Nikolay, Kan, Raymond and Robotti, Cesare (2018) Asymptotic variance approximations for invariant estimators in uncertain asset-pricing models. Econometric Reviews, 37 (7). pp. 695-718. doi:10.1080/07474938.2016.1165945
Hong, Yi and Jin, Xing (2018) Semi-analytical solutions for dynamic portfolio choice in jump-diffusion models and the optimal bond-stock mix. European Journal of Operational Research, 265 (1). pp. 389-398. doi:10.1016/j.ejor.2017.08.010
Luo, Dan, Yongjun Tang, Dragon and Wang, Sarah Qian (2018) Model specification and collateralized debt obligation (mis)pricing. Journal of Futures Markets, 38 (11). pp. 1284-1312. doi:10.1002/fut.21932
Thanassoulis, John and Tanaka, Mia (2018) Optimal pay regulation for too-big-to-fail banks. Journal of Financial Intermediation, 33 . pp. 83-97. doi:10.1016/j.jfi.2017.03.001