Research: Finance

Artem A. Durnev
Durnev, A. A., Guriev, S. (2017). Expropriation Risk and Firm Growth: A Corporate Transparency Channel.
Richard Peter
Peter, R., Richter, A. & Thistle, P. (2017). Endogenous Information, Adverse Selection, and Prevention: Implications for Genetic Testing Policy. Journal of Health Economics, 55, 95-107.
Richard Peter
Courbage, C., Loubergé, H. & Peter, R. (2017). Optimal Prevention for Multiple Risks. The Journal of Risk and Insurance, 84(3), 899-922.
Jarjisu Sa-Aadu
Agoba, A. M., Abor, J. Y., Osei, K. A., Sa-Aadu, J. (2017). Central Bank Independence and Inflation in Africa: The Role of Financial Systems and Institutional Quality. Central Bank Review/Elsevier http: //www.journals.elsevier.com/central-bank-review, 17(4), 131-146. DOI: https:doi.org/10.1016/j.cbrev.2017.11.001.
Artem A. Durnev
Durnev, A. A., Col, B. & Molchanov, A. (2017). Foreign Risk-Domestic Problem: Capital Allocation and Firm Performance under Political Instability. Management Science.
Jon A. Garfinkel
Billett, M. T., Garfinkel, J. A. & Jiang, Y. (2017). The Capital Supply Channel in SEO Peer Effects.
Ashish Tiwari
Li, W., Tiwari, A. & Tong, L. (2017). Investment Decisions under Ambiguity: Evidence from Mutual Fund Investor Behavior. Management Science, 63(8), 2509-2528.
Richard Peter
Peter, R., Sandner, K. (2017). On the Comparative Statics Properties of the Generalized Nash Bargaining Solution.
Ashish Tiwari
O'Doherty, M., Savin, N. & Tiwari, A. (2017). Hedge Fund Replication: A Model Combination Approach. Review of Finance, 21(4), 1767-1804.