Sponsored Research
2011-2012
Gerald Hoberg and Gordon Phillips, “Conglomerate Industry Spanning” Download Working Paper
Haluk Unal, “Does CEO Inside Debt Reduce Bank Default Risk?”
Louiqa Raschid, “The Evolving Role of Financial Information for Risk Monitoring and Regulation”
Gurdip Bakshi, “Riskier Times and Asset Returns” Download Working Paper
N.R. Prabhala, “Venture Capital Communities” Download Working Paper
Steven Heston and Russ Wermers, “Do Mutual Fund Returns Predict Stock Returns?”
Mark Loewenstein, “Money and Asset Prices”
Shijun Cheng, “Loss-shielding in Executive Compensation”
Rebecca Hann, “Internal Controls and External Financing Constraints”
2010-2011
Gurdip Bakshi, "Capital Inadequacy of Hedge Funds, and the Vulnerability of the Financial System"
Steve Heston, "Intra-Day Patterns in the Cross-Section of Stock Returns” Download Working Paper
Brent Goldfarb and David Kirsch, "When are There Not Bubbles?" Download Working Paper
Lawrence Gordon and Martin Loeb, "The Impact of Cybersecurity Breaches on the Value of Corporation"
Mark Loewenstein, "Speculation and Default"
N.R. Prabhala, "CEO-Director Connections and Corporate Fraud" Download Working Paper
Haluk Ünal, "The Hand of ARMs (and others) in the Subprime Crisis"
Russ Wermers, "Runs on Money Market Mutual Funds" Download Working Paper