Publications

Browse or search publications from Stanford GSB faculty.

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Financing as a Supply Chain: The Capital Structure of Banks and Borrowers

Will Gornall, Ilya A. Strebulaev
Journal of Financial Economics September2018 Vol. 129 Issue 3 Pages 510-530.

Big Data in Finance and the Growth of Large Firms

Juliane Begenau, Maryam Farboodi, Laura Veldkamp
Journal of Monetary Economics August2018 Vol. 97 Pages 71-87.

Asset Pricing Program

Monika Piazzesi
NBER Reporter June2018 Issue 2 Pages 1-6.

Foreign Safe Asset Demand for US Treasurys and the Dollar

Zhengyang Jiang, Arvind Krishnamurthy, Hanno Lustig
America Economic Association Papers and Proceedings May2018 Vol. 108 Pages 537-541.

The Changing Face of Debt and Financial Fragility at Older Ages

Annamaria Lusardi, Olivia S. Mitchell, Noemi Oggero
AEA Papers and Proceedings May2018 Vol. 108 Pages 407–411.

Uncertainty Shocks, Asset Supply and Pricing over the Business Cycle

Francesco Bianchi, Cosmin L. Ilut, Martin K. Schneider
The Review of Economic Studies April12018 Vol. 85 Issue 2 Pages 810-854.

Corporate Credit Risk Premia

Antje Berndt, Rohan Douglas, Darrell Duffie, Mark Ferguson
Review of Finance March12018 Vol. 22 Issue 2 Pages 419-454.

Mortgage Market Design: Lessons from the Great Recession

Tomasz Piskorski, Amit Seru
Brookings Papers on Economic Activity March2018

Quantifying Liquidity and Default Risks of Corporate Bonds over the Business Cycle

Hui Chen, Rui Cui, Zhiguo He, Konstantin Milbradt
The Review of Financial Studies March2018 Vol. 31 Issue 3 Pages 852–897.

ECB Policies Involving Government Bond Purchases: Impact and Channels

Arvind Krishnamurthy, Stefan Nagel, Annette Vissing-Jorgensen
Review of Finance February12018 Vol. 22 Issue 1 Pages 1-44.

Four Centuries of Return Predictability

Benjamin Golez
Journal of Financial Economics February2018 Vol. 127 Issue 2 Pages 248-263.

Measuring Liquidity Mismatch in the Banking Sector

Jennie Bai, Arvind Krishnamurthy, Charles-Henri Weymuller
The Journal of Finance February2018 Vol. 73 Issue 1 Pages 51-93.

A Model of the International Monetary System

Emmanuel Farhi, Matteo Maggiori
Quarterly Journal of Economics February2018 Vol. 133 Issue 1 Pages 295-355.

The Leverage Ratchet Effect

Anat R. Admati, Peter M. DeMarzo, Martin F. Hellwig, Paul Pfleiderer
The Journal of Finance February2018 Vol. 73 Issue 1 Pages 145-198.

The Market for Financial Adviser Misconduct

Mark Egan, Gregory Matvos, Amit Seru
Journal of Political Economy February2018 Vol. 127 Issue 1 Pages 233-295.

Financial Market Frictions and Diversifications

Gregor Matvos, Amit Seru, Rui Silva
Journal of Financial Economics January2018 Vol. 127 Issue 1 Pages 21-50.

Dynamic Directed Random Matching

Darrell Duffie, Lei Qiao, Yeneng Sun
Journal of Economic Theory 2018 Vol. 143 Pages 124-183.

The Small IPO and the Investing Preferences of Mutual Funds

Robert P. Bartlett, Paul Rose, Steven Davidoff Solomon
Journal of Corporate Finance December2017 Vol. 47 Pages 151–173.

The Elite CIO You Don’t Know

Ana Marshall
Institutional Investor November202017