Publications

Browse or search publications from Stanford GSB faculty.

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Interest Rate Pass-Through: Mortgage Rates, Household Consumption, and Voluntary Deleveraging

Marco Di Maggio, Benjamin Keys, Tomasz Piskorski, Rodney Ramcharan, Amir Kermani, Amit Seru, Vincent Yao
American Economic Review November2017 Vol. 107 Issue 11 Pages 3350-3388.

Benchmarks in Search Markets

Darrell Duffie, Piotr Dworczak, Haoxiang Zhu
Journal of Finance October2017 Vol. 72 Issue 5 Pages 1983-2044.

Financial Intermediation, International Risk Sharing, and Reserve Currencies

Matteo Maggiori
American Economic Review October2017 Vol. 107 Issue 10 Pages 3038-3071.

Intermediary Asset Pricing: New Evidence from Many Asset Classes

Zhiguo He, Bryan Kelly, Asaf Manela
Journal of Financial Economics October2017 Vol. 126 Issue 1 Pages 1–35.

The Costs of Sovereign Default: Evidence from Argentina

Benjamin Hébert, Jesse Schreger
American Economic Review October2017 Vol. 107 Issue 10 Pages 3119-3145.

The Determinants of Buyout Returns: Does Transaction Strategy Matter?

Brian Ayash, Robert P. Bartlett, Annette B. Poulsen
Journal of Corporate Finance October2017 Vol. 46 Pages 342–360.

Is there a Dark-Side to Exchange Traded Funds (ETFs)? An Information Perspective

Charles M. C. Lee, Doron Israeli, Suhas Sridharan
Review of Accounting Studies September2017 Vol. 22 Issue 3 Pages 1048-1083.

Policies for Crises Prevention and Management

Arvind Krishnamurthy
International Journal of Central Banking September2017 Vol. 13 Issue 3 Pages 277-285.

Matching Capital and Labor

Jonathan B. Berk, Jules H. van Binsbergen, Binying Liu
Journal of Finance August282017 Vol. 72 Issue 6 Pages 2467-2504.

Deflation Risk

Matthias Fleckenstein, Francis A. Longstaff, Hanno Lustig
The Review of Financial Studies August2017 Vol. 30 Issue 8 Pages 2719–2760.

Selling Failed Banks

João Granja, Gregor Matvos, Amit Seru
The Journal of Finance August2017 Vol. 72 Issue 4 Pages 1723-1784.

A Skeptical View of Financialized Corporate Governance

Anat R. Admati
Journal of Economic Perspectives July2017 Vol. 31 Issue 3 Pages 131-150.

Optimal Long-term Contracting with Learning

Zhiguo He, Bin Wei, Jianfeng Yu, Feng Gao
The Review of Financial Studies June2017 Vol. 30 Issue 6 Pages 2006–2065.

Policy Intervention in Debt Renegotiation: Evidence from the Home Affordable Modification Program

Sumit Agarwal, Gene Amromin, Itzhak Ben-David, Souphala Chomsisengphat, Tomasz Piskorski, Amit Seru
Journal of Political Economy June2017 Vol. 125 Issue 3 Pages 654-712.

The Cross-Section and Time-Series of Stock and Bond Returns

Ralph S. J. Koijen, Hanno Lustig, Stijn Van Nieuwerburgh
Journal of Monetary Economics June2017 Vol. 88 Pages 50-69.

How do Investors Compute the Discount Rate? They Use the CAPM

Jonathan B. Berk, Jules H. van Binsbergen
Financial Analyst Journal May2017 Vol. 73 Issue 2 Pages 25-32.

Uncovering Expected Returns: Information in Analyst Coverage Proxies

Charles M. C. Lee, Eric C. So
Journal of Financial Economics May2017 Vol. 124 Issue 2 Pages 331-348.

Optimal Financial Knowledge and Wealth Inequality

Annamaria Lusardi, Pierre-Carl Michaud, Olivia S. Mitchell
Journal of Political Economy April2017 Vol. 125 Issue 2

Size Discovery

Darrell Duffie, Haoxiang Zhu
Review of Financial Studies April2017 Vol. 30 Issue 4 Pages 1095–1150.