Group by: Creators | Item Type | Date
Jump to: 2003 | 2005 | 2011 | 2012 | 2013 | 2014 | 2015 | 2018 | 2019 | 2021 | 2022 | 2024
Number of items at this level: 25.

2003

Biais, BrunoIdRef and Mariotti, ThomasIdRef (2003) Strategic Liquidity Supply and Security Design. IDEI Working Paper, n. 160

2005

Décamps, Jean-PaulIdRef and Djembissi, BertrandIdRef (2005) Switching to a Poor Business Activity: Optimal Capital Structure, Agency Costs and Convenant Rules. IDEI Working Paper, n. 375

2011

Ayotte, KennethIdRef and Bolton, PatrickIdRef (2011) Optimal Property Rights in Financial Contracting. Review of Financial Studies, 24 (10). pp. 3401-3433.

Becht, MarcoIdRef, Bolton, PatrickIdRef and Roell, AilsaIdRef (2011) Why Bank Governance is Different. Oxford Review of Economic Policy, 27 (3). pp. 437-463.

2012

Amaya, Diego, Gauthier, Geneviève and Léautier, Thomas-OlivierIdRef (2012) Dynamic risk management: investment, capital structure, and hedging in the presence of financial frictions. TSE Working Paper, n. 12-330

Léautier, Thomas-OlivierIdRef and Rochet, Jean-CharlesIdRef (2012) On the strategic value of risk management. TSE Working Paper, n. 12-332

2013

Léautier, Thomas-OlivierIdRef and Rochet, Jean-CharlesIdRef (2013) On the strategic value of risk management. TSE Working Paper, n. 13-433, Toulouse

2014

Casamatta, CatherineIdRef and Haritchabalet, CaroleIdRef (2014) Dealing with Venture Capitalists: Shopping Around or Exclusive Negotiation. Review of Finance, 18 (5). pp. 1743-1773.

Léautier, Thomas-OlivierIdRef and Rochet, Jean-CharlesIdRef (2014) On the strategic value of risk management. International Journal of Industrial Organization, vol. 37. pp. 153-169.

2015

Amaya, Diego, Gauthier, Geneviève and Léautier, Thomas-OlivierIdRef (2015) Dynamic risk management: investment, capital structure, and hedging in the presence of financial frictions. Journal of Risk and Insurance, vol. 82 (n° 2). pp. 359-399.

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

Dhillon, Amrita and Rossetto, SilviaIdRef (2015) Ownership structure, Voting, and Risk. Review of Financial Studies, vol.28 (n°2). pp. 521-560.

2018

Hege, UlrichIdRef, Lovo, StefanoIdRef, Slovin, Myron B.IdRef and Sushka, Marie E.IdRef (2018) Divisional Buyouts by Private Equity and the Market for Divested Assets. TSE Working Paper, n. 18-948, Toulouse

Hege, UlrichIdRef, Lovo, StefanoIdRef, Slovin, Myron B.IdRef and Sushka, Marie E.IdRef (2018) Divisional Buyouts by Private Equity and the Market for Divested Assets. Journal of Corporate Finance, 53. pp. 21-37.

2019

Hege, UlrichIdRef and Mella-Barral, PierreIdRef (2019) Bond Exchange Offers or Collective Action Clauses? TSE Working Paper, n. 19-1016, Toulouse

Hege, UlrichIdRef and Mella-Barral, PierreIdRef (2019) Bond Exchange Offers or Collective Action Clauses? Finance, 40. pp. 77-119.

2021

Bianchi, MiloIdRef, Dana, Rose-AnneIdRef and Jouini, ElyesIdRef (2021) Equilibrium CEO contract with belief heterogeneity. TSE Working Paper, n. 21-1253, Toulouse

Bianchi, MiloIdRef, Dana, Rose-AnneIdRef and Jouini, ElyèsIdRef (2021) Shareholder heterogeneity, asymmetric information, and the equilibrium manager. TSE Working Paper, n. 21-1181, Toulouse

2022

Bianchi, MiloIdRef, Dana, Rose-AnneIdRef and Jouini, ElyesIdRef (2022) Equilibrium CEO Contract with Belief Heterogeneity. Economic Theory, vol. 74. pp. 505-546.

Bianchi, MiloIdRef, Dana, Rose-AnneIdRef and Jouini, ElyesIdRef (2022) Shareholder heterogeneity, asymmetric information, and the equilibrium manager. Economic Theory, vol. 73 (n°4). pp. 1101-1134.

Décamps, Jean-PaulIdRef and Villeneuve, StéphaneIdRef (2022) Learning about profitability and dynamic cash management. TSE Working Paper, n. 22-1301, Toulouse

Décamps, Jean-PaulIdRef and Villeneuve, StéphaneIdRef (2022) Learning about profitability and dynamic cash management. Journal of Economic Theory, vol. 205.

Rossetto, SilviaIdRef, Selmane, NassimaIdRef and Stagliano, RaffaeleIdRef (2022) Ownership concentration and firm risk: the moderating role of mid-sized blockholders. TSE Working Paper, n. 22-1346, Toulouse

2024

Faugeras, Olivier PaulIdRef and Pagès, GillesIdRef (2024) Risk quantization by magnitude and propensity. Insurance: Mathematics and Economics, vol.116. pp. 134-147.

Maideu-Morera, GerardIdRef (2024) Firm Size and Compensation Dynamics with Risk Aversion and Persistent Private Information. TSE Working Paper, n. 24-1535, Toulouse

This list was generated on Mon Jan 19 12:03:57 2026 CET.