Publications

Browse or search publications from Stanford GSB faculty.

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The Impact of Impact Investing

Jonathan B. Berk, Jules H. van Binsbergen
Journal of Financial Economics February2025 Vol. 164

Trading Stocks Builds Financial Confidence and Compresses the Gender Gap

Saumitra Jha, Moses Shayo
Economic Journal January52025 Vol. 135 Issue 665 Pages 235–263.

How US Treasuries Can Remain the World's Safe Haven

Darrell Duffie
Journal of Economic Perspectives January2025 Vol. 39 Issue 2 Pages 195–214.

The CEO Scorecard: How Directors Select a CEO When They Have Real Skin in the Game

A.J. Galainena, David F. Larcker, Mason Morfit, Bloor Redding, Amit Seru, Brian Tayan
Stanford Closer Look Series Corporate Governance Research Initiative December2024

An Equilibrium Model of Deferred Prosecution Agreements

Steven Grenadier, Brian Grenadier
Emory Corporate Governance and Accountability Review November222024 Vol. Forthcoming Issue Spring 2026

Margin Rules and Margin Trading: Past, Present, and Implications

Zhuo Chen, Zhiguo He, Wei Wei
Annual Review of Financial Economics November2024 Vol. 16 Pages 153–177.

2024 Survey of Investors, Retirement Savings, and ESG

David F. Larcker, Amit Seru, Brian Tayan
CGRI Survey Series Corporate Governance Research Initiative, Stanford Rock Center for Corporate Governance, Hoover Institution Working Group on Corporate Governance October2024

Dollar Safety and the Global Financial Cycle

Zhengyang Jiang, Arvind Krishnamurthy, Hanno Lustig
The Review of Economic Studies October2024 Vol. 91 Issue 5 Pages 2978-2915.

Gender, Race, and Entrepreneurship: A Randomized Field Experiment on Venture Capitalists and Angels

Will Gornall, Ilya A. Strebulaev
Management Science September302024 Vol. 71 Issue 6

Valuing Long-Term Property Rights with Anticipated Political Regime Shifts

Zhiguo He, Maggie Rong Hu, Zhenping Wang, Vincent Yao
American Economic Review September262024 Vol. 114 Issue 9 Pages 2701–2747.

What Drives Investors’ Portfolio Choices? Separating Risk Preferences From Frictions

Tim de Silva, Taha Choukhmane
Journal of Finance September162024

Monetary Tightening and U.S. Bank Fragility in 2023: Mark-to-Market Losses and Uninsured Depositor Runs?

Erica Xuewei Jiang, Gregor Matvos, Tomasz Piskorski, Amit Seru
Journal of Financial Economics September2024 Vol. 159

The Problem of Good Conduct Among Financial Advisers

Mark Egan, Gregor Matvos, Amit Seru
Journal of Economic Perspectives September2024 Vol. 38 Issue 4 Pages 193–210.

The Drivers and Implications of Retail Margin Trading

Zhiguo He, Jiangze Bian, Dong Lou, Kelly Shue, Zhi Da, Hao Zhou
Journal of Finance August102024

The Drivers and Implications of Retail Margin Trading

Zhiguo He, Jiangze Bian, Zhi Da, Dong Lou, Kelly Shue, Hao Zhou
Journal of Finance August102024 Vol. forthcoming

Corporate Debt Structure with Home and International Currency Bias

Matteo Maggiori, Brent Neiman, Jesse Schreger
IMF Economic Review August2024

Global Capital Allocation

Sergio Florez-Orrego, Matteo Maggiori, Jesse Schreger, Ziwen Sun, Serdil Tinda
Annual Review of Economics August2024 Vol. 16 Pages 623–653.

Expectations and the Neutrality of Interest Rates

John H. Cochrane
Review of Economic Dynamics July2024 Vol. 53

Real Effects of Supplying Safe Private Money

He Yang
Journal of Financial Economics July2024 Vol. 157

Searching for Approval

Sumit Agarwal, John Grigsby, Ali Hortaçsu, Gregor Matvos, Amit Seru, Vincent Yao
Econometrica July2024 Vol. 92 Issue 4 Pages 1195–1231.