Research: Finance

Erik Lie
Kim, J., Lee, K. H. & Lie, E. (2017). Dividend stickiness, debt covenants, and earnings management. Contemporary Accounting Research, 34(4), 2022-2050.
Yiming Qian
Jiang, F., John, K., Li, W. & Qian, Y. (In Press). Earthly Reward to the Religious: Religiosity and the Costs of Public and Private Debt. Journal of Financial and Quantitative Analysis.
Erik Lie
Heron, R., Lie, E. (2017). Do stock options overcome managerial risk aversion? Evidence from exercises of executive stock options. Management Science, 63(September 2017), 3057–3071.
Yiming Qian
Jiang, F., Qian, Y. & Yonker, S. (2017). Hometown biased acquisitions.
Richard Peter
Hofmann, A., Peter, R. (2016). Self-Insurance, Self-Protection, and Saving: On Consumption Smoothing and Risk Management. The Journal of Risk and Insurance, 83(3), 719-734.
Tong Yao
Jiang, Y., Qian, Y. & Yao, T. (2016). R&D Spillover and Predictable Returns. Review of Finance, 20(5), 1769-1797.
Richard Peter
Peter, R. (2016). The Critical Loading Factor in Insurance.
Richard Peter
Peter, R., Richter, A. & Steinorth, P. (2016). Yes, No, Perhaps? - Premium Risk and Guaranteed Renewable Insurance Contracts with Heterogeneous Incomplete Private Information. The Journal of Risk and Insurance, 83(2), 363-385.