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

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135. André Getzmann, Sebastian Lang and Klaus Spremann, “Target Capital Structure and Adjustment<br />

Speed in Asia,” Asia-Pacific Journal <strong>of</strong> Financial Studies 43 (2014), 1-30.<br />

136. Lopez-Gracia, Jose and Francisco Sogorb-Mira. “Sensitivity <strong>of</strong> external resources to cash flow under<br />

financial constraints, International Business Review 23 (2014), 920-930.<br />

137. Arellano, Cristina, Yan Bai, and Jing Zhang, “Firm Dynamics and Financial Development,” Journal<br />

<strong>of</strong> Monetary Economics, forthcoming.<br />

138. Boyd, John H., and Abu M. Jalal, “A New Measure <strong>of</strong> Financial Development: Theory Leads Measurement,”<br />

Journal <strong>of</strong> Development Economics, forthcoming.<br />

139. Chang, Chuang-Chang, Jun-Biao Lin, Chun-Chieh Yang, “The effect <strong>of</strong> stochastic interest rates on a<br />

firm’s capital structure under a generalized model,” Review <strong>of</strong> Quantitative Finance and Accounting,<br />

forthcoming.<br />

140. DeAngelo, Harry and Richard Roll, “How Stable are Corporate Capital Structures” Journal <strong>of</strong><br />

Finance, forthcoming.<br />

141. De Nicolò, Gianni, Andrea Gamba, and Marcella Lucchetta, “Microprudential Regulation in a Dynamic<br />

Model <strong>of</strong> Banking,” Review <strong>of</strong> Financial Studies, forthcoming.<br />

142.<br />

İmrohoroğlu, Ayşe and Şelale Tüzel, “Firm-Level Productivity, Risk, and Return, Management Science,<br />

forthcoming.<br />

143. Köksal, Bülent and Cüneyt Orman, “Determinants <strong>of</strong> capital structure: evidence from a major developing<br />

econo<strong>my</strong>,” Small Business Economics, forthcoming.<br />

144. Kang, Ari Choi, Richard Lowery, and Malcolm Wardlaw, “The Costs <strong>of</strong> Closing Failed Banks: A<br />

Structural Estimation <strong>of</strong> Regulatory Incentives,” Review <strong>of</strong> Financial Studies, forthcoming.<br />

145. Karpavičius, Sigitas, “The cost <strong>of</strong> capital and optimal financing policy in a dynamic setting,” Journal<br />

<strong>of</strong> Banking and Finance 48 (2014), 42-56.<br />

“Proxy Quality Thresholds,” Finance Research Letters 2 (2005), 131-151.<br />

Erickson)<br />

(with Timothy<br />

1. Eisfeldt, A. and A Rampini, “New or Used Investment with Credit Constraints,” Journal <strong>of</strong> Monetary<br />

Economics 54 (2007), 2656-2681.<br />

2. Chava, S. and Roberts, M. “How does Financing Impact Investment The Role <strong>of</strong> Debt Covenant<br />

Violations,” Journal <strong>of</strong> Finance 63 (2008), 2085-2121.<br />

3. Warusawitharana, Missaka, “Corporate Asset Purchases and Sales: Theory and Evidence,” Journal <strong>of</strong><br />

Financial Economics 87 (2008), 471-497.<br />

4. Riddiough, Timothy J. and Zhonghua Wu. “Financial Constraints, Liquidity Management, and Investment,”<br />

Real Estate Economics 37 (2009), 447-481.<br />

5. Baum, C., A. Stephan, and O. Talavera. “On the Sensitivity <strong>of</strong> Firms’ Investment to Cash Flow and<br />

Uncertainty,” Oxford Economic Papers 62 (2010), 286-306.<br />

6. Lemmon, Michael and Michael R. Roberts. “The Response <strong>of</strong> Corporate Financing and Investment to<br />

Changes in the Supply <strong>of</strong> Credit,” Journal <strong>of</strong> Financial and Quantitative Analysis 45 (2010), 555-587.<br />

7. Julio, Brandon and Youngsuk Yook, “Political Uncertainty and Corporate Investment Cycles,” Journal<br />

<strong>of</strong> Finance 67 (2012), 45-84.<br />

8. Gormley, Todd A. and David A. Matsa, “Common Errors: How to (and Not to) Control for Unobserved<br />

Heterogeneity,” Review <strong>of</strong> Financial Studies 27 (2014), 617-661.

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