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

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203. Eldomiaty, Tarek and Mohammed Ismail, “A Bayesian Approach for Testing the Debt Signaling Hypothesis<br />

in a Transitional Market: Perspectives from Egypt,” in Cheng-Few Lee, ed. Advances in<br />

Quantitative Analysis <strong>of</strong> Finance and Accounting, (2006) World Scientific, 163-194.<br />

204. Arslan, O. and Karan, M.B. “Ownership and Control Structure as Determinants <strong>of</strong> Corporate Debt<br />

Maturity: A Panel Study <strong>of</strong> an Emerging Market,” Corporate Governance–An International Review<br />

14 (2006), 312-324.<br />

205. Richardson, S. “Over-Investment <strong>of</strong> Free Cash Flow,” Review <strong>of</strong> Accounting Studies 11 (2006), 159-189.<br />

206. Guariglia, A. and Mateut, S. “Credit Channel, Trade Credit Channel, and Inventory Investment:<br />

Evidence from a Panel <strong>of</strong> UK Firms,” Journal <strong>of</strong> Banking and Finance 30 (2006), 2835-2856.<br />

207. Semenov, R. “Financial Systems, Financing Constraints and Investment: Empirical Analysis <strong>of</strong> OECD<br />

Countries,” Applied Economics 38 (2006), 1963-1974.<br />

208. Oliveira B., Fortunato, A. “Firm Growth and Liquidity Constraints: A Dynamic Analysis,” Small<br />

Business Economics 27 (2006), 139-156.<br />

209. Biddle, G.C. and Hilary, G. “Accounting Quality and Firm-Level Capital Investment,” Accounting<br />

Review 81 (2006), 963-982.<br />

210. DeMarzo P.M., Fishman, M. J. “Agency and Optimal Investment Dynamic,” Review <strong>of</strong> Financial<br />

Studies 20 (2006), 151-188.<br />

211. Koo, J. and Maeng, K., “Foreign Ownership and Investment: Evidence from Korea,” Applied Economics<br />

Letters 38 (2006), 2405-2414.<br />

212. Gomes, J., Yaron, A. and Zhang, L. “Asset Pricing Implications <strong>of</strong> Firms’ Financing Constraints,”<br />

Review <strong>of</strong> Financial Studies 19 (2006), 1321-1356.<br />

213. Beck, T., Demirguc-Kunt, A., Laeven, L., and Maksimovic, V. “The Determinants <strong>of</strong> Financing Obstacles,”<br />

Journal <strong>of</strong> International Money and Finance 25 (2006), .<br />

214. Driffield, N. and Pal, S. “Do External Funds Yield Lower Returns Recent Evidence from East Asian<br />

Economies,” Journal <strong>of</strong> Asian Economics, 17 (2006), 171-188.<br />

215. Bayer, C. “Aggregate Investment Dynamics, when Firms Face Fixed Investment Costs and Capital<br />

Market Imperfections,” Journal <strong>of</strong> Monetary Economics 53 (2006), 1909-1947.<br />

216. Mackay, P. and Moeller, S.B. “The Value <strong>of</strong> Corporate Risk Management, Journal <strong>of</strong> Finance 62<br />

(2007), 1379-1419.<br />

217. Almeida, H. and Campello, M. “Financial Constraints, Asset Tangibility, and Corporate Investment,”<br />

Review <strong>of</strong> Financial Studies 20 (2007), 1429-1460.<br />

218. Drakos, K., Goulas, E., and Kallandranis, C. “New vs. Used Capital Investment Decisions under<br />

Liquidity Constraints,” Applied Financial Economics Letters 3 (2007), 15-18.<br />

219. Dasgupta, S., Sengupta, K. “Corporate Liquidity, Investment and Financial Constraints: Implications<br />

from a Multi-Period Model,” Journal <strong>of</strong> Financial Intermediation 16 (2007), 151-174.<br />

220. Drobetz, Wolfgang and Grüninger, Matthias C. “Corporate cash holdings: Evidence from Switzerland,”<br />

Financial Markets and Portfolio Management 21 (2007), 293-324.<br />

221. Feidakis, Andreas and Rovolis, QAntonios. “Capital Structure Choice in European Union: Evidence<br />

from the Construction Industry,” Applied Financial Economics 17 (2007), 989-1002.<br />

222. Petrunia, Robert. “Persistence <strong>of</strong> Initial Debt in the Long-Term Employment Dynamics <strong>of</strong> New Firms,”<br />

Canadian Journal <strong>of</strong> Economics/Revue canadienne d’économique 40 (2007), 861-880.

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