Number of items: 8.

Armantier, Olivier, Foncel, Jérôme and Treich, Nicolas (2023) Insurance and portfolio decisions: Two sides of the same coin? Journal of Financial Economics, vol.148 (n°3). pp. 201-219.

Bouvard, Matthieu and De Motta, Adolfo (2021) Labor leverage, coordination failures, and aggregate risk. Journal of Financial Economics, vol. 142 (n° 3). pp. 1229-1252.

Goetzmann, Will, Le Bris, David and Pouget, Sébastien (2019) The present value relation over six centuries: The Case of the Bazacle Company. Journal of Financial Economics, vol. 132 (n° 1). pp. 248-265.

Hörner, Johannes, Lovo, Stefano and Tomala, Tristan (2018) Belief-free Price Formation. Journal of Financial Economics, 127 (2). pp. 342-365.

Cremers, K.J. Martijn, Litov, Lubomir P. and Sepe, Simone M. (2017) Staggered Boards and Firm Value, Revisited. Journal of Financial Economics, 126 (n°2). pp. 422-444.

Biais, Bruno, Foucault, Thierry and Moinas, Sophie (2015) Equilibrium Fast Trading. Journal of Financial Economics, 116 (2). pp. 292-313.

Greenwood, Robin, Landier, Augustin and Thesmar, David (2015) Vulnerable Banks. Journal of Financial Economics, 115 (n°3). pp. 471-485.

Arcot, Sridhar, Fluck, Zsuzsanna, Gaspar, José-Miguel and Hege, Ulrich (2015) Fund Managers under Pressure: Rationale and Determinants of Secondary Buyouts. Journal of Financial Economics, 115. pp. 102-135.

This list was generated on Thu Apr 18 06:56:29 2024 CEST.