Sponsored Research
2013-2014
Leigh Anenson, “Reforming
Teacher Pensions”
Gurdip Bakshi, “Understanding
the Economic Sources of the Decline in Entrepreneurial and IPO Activities”
Shijun Cheng, “Business
volatility and the separation between controlling shareholders’ voting and cash
flow rights”
Michael Faulkender,
“Compensation Peer Groups at Banks During the Financial Crisis”
Brent Goldfarb,
“How does patenting aspect the growth, acquisitions and financing of startup firms?”
Rebecca Hann, “Aggregate
Earnings Surprises, Stock Returns, and Macroeconomic Dynamics”
Steve Heston, “Comparing
Textual Processing Approaches for Predicting Stock Returns”
Mark Loewenstein,
“Does Speculative Activity Have Real Effects?”
Nagpurnanad Prabhala,
“Director Elections”
Louiqa Raschid, “Enhancing
Financial Datasets with LEI/CICI to Study Risk Propagation”
Haluk Unal, “Money Market
Funds and Bank Sponsorship”
Russ Wermers, “Microfinance
Peer-Group Mechanisms: The Role of Culture, Community, Project, and Funding Source”
2012-2013
Gurdip Bakshi, “Do financial firms
price their shares better? Evidence from accelerated seasoned equity offerings”
Michael Faulkender, “Corporate
Financial Decisions and Taxes: The Role of Foreign Tax Havens”
Rebecca Hann and
Hanna Lee, “Creditor Coordination
Frictions and Distress Risk: The Role of Creditor and Debt Attributes”
Steve Heston, “Comparing
Stochastic Volatility, Fat Tails, and Risk Premia in Option Prices”
Mark Loewenstein, “Limits of
Arbitrage: The Effect of Market Clearing”
N. R. Prabhala, “Family Matters”
Louiqa Raschid, “Fiscal Policy,
Governance, Citizenry and Financial Indicators: Modeling through the Lens of
Social Media”
Alexander Triantis, “How
Effective are Debt Covenants in Reducing Financial Agency Costs?”
Haluk Ünal, “Long-term performance
of government assisted resolutions of failed banks”
Russ Wermers, “The Stability of
Money Market Mutual Funds: The Effect of the 2010 Amendments to Rule 2A-7”
2011-2012
Gerald Hoberg and
Gordon Phillips, “Conglomerate
Industry Spanning”
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Paper

Haluk Unal, “Inside Debt, Bank
Default Risk and Performance during the Crisis”
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Paper

Louiqa Raschid, “The Evolving Role
of Financial Information for Risk Monitoring and Regulation”
Gurdip Bakshi, “Riskier Times and
Asset Returns”
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Paper

N.R. Prabhala, “Venture Capital
Communities”
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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, “Forecasting the
Macroeconomy: Analysts vs. Economists”
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Paper
