Sponsored Research

2011-2012

Gerald Hoberg and Gordon Phillips, “Conglomerate Industry Spanning”
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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”
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N.R. Prabhala, “Venture Capital Communities”
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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”
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Brent Goldfarb and David Kirsch, "When are There Not Bubbles?"
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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"
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Haluk Ünal, "The Hand of ARMs (and others) in the Subprime Crisis"

Russ Wermers, "Runs on Money Market Mutual Funds"
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