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

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“Financial Constraints Risk,” Review <strong>of</strong> Financial Studies 19 (2006), 531-559. (with Guojun<br />

Wu)<br />

1. 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 />

2. 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 />

3. Wang, T. Financial Constraints and the Risk-Return Relation, Economics Bulletin 7(12) (2007).<br />

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

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

5. Musso, P. and Schiavo, S. “The Impact <strong>of</strong> Financial Constraints on Firm Survival and Growth,” Journal<br />

<strong>of</strong> Evolutionary Economics 18 (2008), 135-149.<br />

6. 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 />

7. Li, Y., and L. Huang. “Financial Constraints and Systematic Risk: Theory and Evidence from China,”<br />

International Conference on Management Science and Engineering 15th Annual Conference Proceedings,<br />

ICMSE (2008), 1113-1119.<br />

8. Hahn, Jaehoon and Hangyong Lee, “Financial Constraints, Debt Capacity, and the Cross-section <strong>of</strong><br />

Stock Returns,” Journal <strong>of</strong> Finance 64 (2009), 891-921.<br />

9. Franzoni, Francesco, “Underinvestment Vs. Overinvestment: Evidence From Price Reactions To Pension<br />

Contributions,” Journal <strong>of</strong> Financial Economics 92 (2009), 491-518.<br />

10. Livdan, Dmitry, Horacio Sapriza, and Lu Zhang.“Financially Constrained Stock Returns,” Journal <strong>of</strong><br />

Finance 64 (2009), 1827-1862.<br />

11. Schaller, Huntely and Robert Chirinko, “The Irreversibility Premium,” Journal <strong>of</strong> Monetary Economics<br />

56 (2009), 390-408.<br />

12. Babenko, Ilona and Yuri Tserlukevich. “Analyzing the Tax Benefits from Employee Stock Options,”<br />

Journal <strong>of</strong> Finance 64 (2009), 1797-1825<br />

13. Fahlenbrach, Rudiger and Stulz, Rene M. “Managerial Ownership Dynamics and Firm Value,” Journal<br />

<strong>of</strong> Financial Economics 92 (2009), 342-361.<br />

14. Huang, Dayong and Fang Wang. “Cash, Investments and Asset Returns,” Journal <strong>of</strong> Banking and<br />

Finance 33 (2009), 2301-2311.<br />

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

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

16. Xie, Feixue. “Managerial Flexibility, Uncertainty, and Corporate Investment: The Real Options Effect,”<br />

International Review <strong>of</strong> Economics and Finance 18 (2009), 643-655.<br />

17. George, Thomas J. and Chuan-Yang Hwang, “A Resolution <strong>of</strong> the Distress Risk and Leverage Puzzles<br />

in the Cross Section <strong>of</strong> Stock Returns,” Journal <strong>of</strong> Financial Economics 96 (2010), 56-79.<br />

18. Gomes, Joan and Lucas Schmid. “Levered Returns,” Journal <strong>of</strong> Finance 65 (2010), 467-494.<br />

19. Bellone, Flora, Patrick Musso, Lionel Nesta, and Stefano Schiavo, “Financial Constraints and Firm<br />

Export Behaviour,” World Econo<strong>my</strong> 33 (2010), 347-373.<br />

20. Bharath, S.T. and A.K.Dittmar, “Why Do Firms Use Private Equity to Opt Out <strong>of</strong> Public Markets<br />

Review <strong>of</strong> Financial Studies 23 (2010), 1771-1818.

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