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Toni M. Whited List of Articles Citing my Publications Outside ...

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164. Bruinsho<strong>of</strong>d, A. and Letterie, W. “Investment and finance when liquidation is costly,” De Economist,<br />

152 (2004), 21-45.<br />

165. Allayanis, Y. and Mozudmar, A. “The investment-cash flow sensitivity puzzle: can negative cash flow<br />

observations explain it,” Journal <strong>of</strong> Banking and Finance 28 (2004), 901-930.<br />

166. Hennessy, C.A., “Tobin’s Q, Debt Overhang, and Investment,” Journal <strong>of</strong> Finance 59 (2004), 1717-<br />

1742.<br />

167. Almeida, H., Campello, M. and Weisbach, M.S. “The Cash Flow Sensitivity <strong>of</strong> Cash,” Journal <strong>of</strong><br />

Finance 59 (2004), 1777-1804.<br />

168. Kim, K.Y., Park, K. adnd Ratti, R.A. “Do main banks extract rents from their client firms Evidence<br />

from Korean Chaebol,” Hitotsubashi Journal <strong>of</strong> Economics 45 (2004), 15-45.<br />

169. Heisz, A. and LaRochelle-Cote, S. “Corporate financial leverage in Canadian manufacturing: Consequences<br />

for employment and inventories,” Canadian Journal <strong>of</strong> Administrative Sciences 21 (2004),<br />

111-128.<br />

170. Klassen, K.J., Pittman, J.A. and Reed, M.P. “A cross-national comparison <strong>of</strong> R&D expenditure decisions:<br />

Tax incentives and financial constraints,” Contemporary Accounting Research 21 (2004), 639-680.<br />

171. Ozkan, A. and Ozkan, N. “Corporate cash holdings: An empirical investigation <strong>of</strong> UK companies,”<br />

Journal <strong>of</strong> Banking and Finance 28 (2004), 2103-2134.<br />

172. Harrison, A.E., Love, I. and McMillan, M.S. “Global capital flows and financing constraints,” Journal<br />

<strong>of</strong> Development Economics 75 (2004), 269-301.<br />

173. Rizov, M. “Firm investment in transition-Evidence from Romanian manufacturing,” Economics <strong>of</strong><br />

Transition 12 (2004), 721-746.<br />

174. Giannola, Adriano,“Liquidity Constraints and Small Firms’ Growth: The Case <strong>of</strong> Southern Italy,” in<br />

Richard Arena and Neri Salvadori, eds. Money, Credit and the Role <strong>of</strong> the State: Essays in Honour <strong>of</strong><br />

Augusto Graziani (2004) Ashgate Publishing, Ltd., 115-126.<br />

175. Bevan, A.A., and Danbolt, J. “Testing for inconsistencies in the estimation <strong>of</strong> UK capital structure<br />

determinants,” Applied Financial Economics 14 (2004), 55-66.<br />

176. Koo, J. and Shin, S. “Financial Liberalization and Corporate Investments: Evidence from Korean Firm<br />

Data,” Asian Economic Journal 18 (2004), 277-292.<br />

177. Boissay, F. “Crédits interentreprises et délais de paiement : une théorie financière,” Annales D’Éeconomie<br />

et de Statistique 73 (2004), 101-118.<br />

178. Cordoba, J.C. and Ripoll, M. “Credit cycles redux,” International Economic Review 45 (2004), 1011-<br />

1046.<br />

179. Arestis, P. and Sawyer, M. “On the Effectiveness <strong>of</strong> Monetary Policy and <strong>of</strong> Fiscal Policy,” Review <strong>of</strong><br />

Social Econo<strong>my</strong> 62 (2004), 441-463.<br />

180. Zhang, L. “The Value Premium,” Journal <strong>of</strong> Finance 60 (2005), 67-103.<br />

181. Lins KV, Strickland D, Zenner M Do Non-US firms issue equity on US stock exchanges to relax capital<br />

constraints Journal <strong>of</strong> Financial and Quantitative Analysis 40 (2005), 109-133.<br />

182. Spano, M. “Macroeconomic Effects <strong>of</strong> Stock Market Fluctuations,” Rivista Italiana degli Economisti 3<br />

(2005), 375-396.<br />

183. Esfahani, H.S. “Searching for the (Dark) Rorces behind Protection,” Oxford Economic Papers-New<br />

Series 57 (2005), 283-314.

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