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

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146. Hornstein, Abigail S. and Zachary Nguyen, “Is More Less Propensity to diversify via M&A and<br />

market reactions,” International Review <strong>of</strong> Financial Analysis 34 (2014), 76-88.<br />

147. Rok Choi, Young, Toru Yoshikawa, Shaker A. Zahra, and Bong H. Han, “Market-oriented institutional<br />

change and R&D investments: Do business groups enhance advantage,” Journal <strong>of</strong> World Business<br />

49 (2014), 466-475.<br />

148. Farooqi, Javeria, Oneil Harris, and Thanh Ngo, “Corporate diversification, real activities manipulation,<br />

and firm value,” Journal <strong>of</strong> Multinational Financial Management 27 (2014), 130-151.<br />

149. Kim, Chansog, Christos Pantzalis, and Jung Chul Park, “Do Family Owners Use Firm Hedging Policy<br />

to Hedge Personal Undiversified Wealth Risk” Financial Management 43 (2014), 415-444.<br />

150. Choi, Young Rok, Shaker A. Zahra, Toru Yoshikawa, and Bong H. Han, 1Family ownership and R\&D<br />

investment: The role <strong>of</strong> growth opportunities and business group membership,” Journal <strong>of</strong> Business<br />

Research, forthcoming.<br />

151. D’Espallier, Bert, Jolien Huybrechts, and Frederiek Schoubben, “Why do firms save cash from cash<br />

flows evidence from firm-level estimation <strong>of</strong> cash-cash flow sensitivities,” Accounting and Finance,<br />

forthcoming.<br />

152. Holder, Mark E. and Aiwu Zhao, “Value exploration and materialization in diversification strategies,”<br />

Review <strong>of</strong> Quantitative Finance and Accounting, forthcoming.<br />

153. Chang, Xin, Sudipto Dasgupta, George Wong, and Jiaquan Yao, “Cash-Flow Sensitivities and the<br />

Allocation <strong>of</strong> Internal Cash Flow,” Review <strong>of</strong> Financial Studies, forthcoming.<br />

“Fixed Costs <strong>of</strong> Adjustment, Coordination, and Industry Investment,” Review <strong>of</strong> Economics<br />

and Statistics 83 (2001), 628-637. (with Joanne M. Doyle)<br />

1. Hassett, Kevin, A., Tax Policy and Investment (1999) American Enterprise Institute.<br />

2. Hubbard, R.G. and Hassett, K.A. “Tax Policy and Business Investment,” in A.J. Auerbach and M.<br />

Feldstein, eds. Handbook <strong>of</strong> Public Economics (2002), Amsterdam, North Holland.<br />

3. Alderson, M.J. and Betker, B.L. “The Specification and Power <strong>of</strong> Tests to Detect Abnormal Changes<br />

in Corporate Investment,” Journal <strong>of</strong> Corporate Finance 12 (2006), 738-760.<br />

4. Bloom, N., Bond, S. and Van Reenen, J. “Uncertainty and Investment Dynamics,” Review <strong>of</strong> Economic<br />

Studies 74 (2007), 391-415.<br />

5. Akdoğu, E. and MacKay, P. “Investment and Competition,” Journal <strong>of</strong> Financial and Quantitative<br />

Analysis 43 (2008), 299-330.<br />

“Two-Step GMM Estimation <strong>of</strong> the Errors-in-Variables Model using High-Order Moments,”<br />

Econometric Theory 18 (2002), 776-799. (with Timothy Erickson)<br />

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

1742.<br />

2. Chen, Y.Y. and Wang, H.J. “A method <strong>of</strong> moments estimator for a stochastic frontier model with<br />

errors in variables,” Economics Letters 85 (2004), 221-228.<br />

3. Ebbes, P., Wedel, M., Böckenholt, U. and Steerneman, T. “Solving and Testing for Regressor-Error<br />

(in)Dependence When no Instrumental Variables are Available: With New Evidence for the Effect <strong>of</strong><br />

Education on Income,” Quantitative Marketing and Economics 3 (2005), 365-392.<br />

4. Sabia, J.J. “The Effect <strong>of</strong> Body Weight on Adolescent Academic Performance,” Southern Economic<br />

Journal 73 (2007), 871-900.

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