Boot, A. and Vladimirov, V. (2024). Disclosure, Patenting, and Trade Secrecy Journal of Accounting Research, :.
32 key publications
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Gryglewicz, S., Mayer, S. and Morellec, E. (2024). The Dynamics of Loan Sales and Lender Incentives Review of Financial Studies, :.
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Fišar, M., Greiner, B., Huber, C., Katok, E., Ozkes, A., Karmaziene, E. and Tümer-Alkan, G. (2024). Reproducibility in Management Science Management Science, 70(3):1343--1356.
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Menkveld, A., Dreber, A., Holzmeister, F., Huber, J., Johanesson, M., Kirchler, M., Razen, M., Weitzel, U., Vladimirov, V., Caskurlu, T. and co-authors, O. (2024). Nonstandard Errors The Journal of Finance, :.
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Gryglewicz, S. and Kolb, A. (2023). Strategic Pricing in Volatile Markets Operations Research, :.
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Gryglewicz, S., Mancini, L., Morellec, E., Schroth, E. and Valta, P. (2022). Understanding Cash Flow Risk Review of Financial Studies, 35(8):3922--3973.
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Eeckhoudt, L. and Laeven, R. (2022). Dual moments and risk attitudes Operations Research, 70(3):1330--1341.
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Andonov, A. and Rauh, J. (2022). The Return Expectations of Public Pension Funds Review of Financial Studies, 35(8):3777–3822.
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Andonov, A., Kräussl, R. and Rauh, J. (2021). Institutional Investors and Infrastructure Investing Review of Financial Studies, 34(8):3880--3934.
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Gryglewicz, S., Mayer, M. and Morellec, E. (2021). Optimal financing with tokens Journal of Financial Economics, 142(3):1038--1067.
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Gryglewicz, S. and Hartman-Glaser, B. (2020). Investment Timing and Incentive Costs∗ Review of Financial Studies, 33(1):309--357.
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van Bilsen, S., Laeven, R. and Nijman, T. (2020). Consumption and Portfolio Choice under Loss Aversion and Endogenous Updating of the Reference Level Management Science, 66(9):3927–3955.
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Gryglewicz, S., Hartman-Glaser, B. and Zheng, G. (2020). Growth Options, Incentives, and Pay-for-Performance: Theory and Evidence Management Science, 66(3):1248--1277.
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Boons, M., Duarte, F., de Roon, F. and Szymanowska, M. (2020). Time-Varying Inflation Risk and Stock Returns Journal of Financial Economics, 136(2):444--470.
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Gryglewicz, S., Mayer, S.(. and Morellec, E. (2020). Agency Conflicts and Short- versus Long-Termism in Corporate Policies Journal of Financial Economics, 136(3):718--742.
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Inderst, R. and Vladimirov, V. (2019). Growth Firms and Relationship Finance: A Capital Structure Perspective Management Science, 65(11):5411--5426.
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Boot, A. and Vladimirov, V. (2019). (Non-)Precautionary Cash Hoarding and the Evolution of Growth Firms Management Science, 65(11):5290--5307.
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Antoni, M., Maug, E. and Obernberger, S. (2019). Private equity and human capital risk Journal of Financial Economics, 133(3):634--657.
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Andonov, A., Hochberg, YaelV. and Rauh, JoshuaD. (2018). Political Representation and Governance: Evidence from the Investment Decisions of Public Pension Funds The Journal of Finance, 73(5):2041--2086.
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Busch, P. and Obernberger, S. (2017). Actual Share Repurchases, Price Efficiency, and the Information Content of Stock Prices Review of Financial Studies, 30(1):324--362.