Publications

Browse or search publications from Stanford GSB faculty.

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Commonality in Credit Spread Changes: Dealer Inventory and Intermediary Distress

Zhiguo He, Paymon Khorrami, Zhaogang Song
The Review of Financial Studies October2022 Vol. 35 Issue 10 Pages 4630–4673.

Financial Education Affects Financial Knowledge and Downstream Behavior

Tim Kaiser, Annamaria Lusardi, Lukas Menkhoff, Carly Urban
Journal of Financial Economics August2022 Vol. 145 Issue 2 Pages 255–272.

A Frog in Every Pan: Information Discreteness and the Lead-lag Returns Puzzle

Charles M. C. Lee, Shiyang Huang, Yang Song, Hong Xiang
Journal of Financial Economics August2022 Vol. 145 Issue 2 Pages 83–102.

Financial Regulation in a Quantitative Model of the Modern Banking System

Juliane Begenau, Tim Landvoigt
The Review of Economic Studies July2022 Vol. 89 Issue 4 Pages 1748–1784.

Return Expectations of Public Pension Funds

Aleksandar Andonov, Joshua D. Rauh
The Review of Financial Studies July2022 Vol. 35 Issue 8 Pages 3777–3822.

The Use and Misuse of Patent Data: Issues for Finance and Beyond

Josh Lerner, Amit Seru
The Review of Financial Studies June2022 Vol. 35 Issue 6 Pages 2667–2704.

Shadow Bank Distress and Household Debt Relief: Evidence from the CARES Act

Susan Cherry, Erica Jiang, Gregor Matvos, Tomasz Piskorski, Amit Seru
AEA Papers and Proceedings May2022 Vol. 112

When Harry Fired Sally: The Double Standard in Punishing Misconduct

Mark L. Egan, Gregor Matvos, Amit Seru
Journal of Political Economy May2022 Vol. 130 Issue 5

Machine Learning Explainability & Fairness: Insights from Consumer Lending

Laura Blattner, Jann Spiess
FinRegLab April2022

Regulation of Charlatans in High-Skill Professions

Jonathan B. Berk, Jules H. van Binsbergen
The Journal of Finance (early access) February62022

Proactive Capital Structure Adjustments: Evidence from Corporate Filings

Arthur Korteweg, Michael Schwert, Ilya A. Strebulaev
Journal of Financial and Quantitative Analysis February2022 Vol. 57 Issue 1 Pages 31–66.

Active Funds and Bundled News

Charles M. C. Lee, Christina Zhu
The Accounting Review January2022 Vol. 97 Issue 1 Pages 315-339.

Consumer-Lending Discrimination in the Fintech Era

Robert P. Bartlett, Adair Morse, Richard Stanton, Nancy Wallace
Journal of Financial Economics January2022 Vol. 143 Issue 1 Pages 30–56.

Modernizing Odd Lot Trading

Robert P. Bartlett
Columbia Business Law Review January2022

Treasury Inconvenience Yields during the COVID-19 Crisis

Zhiguo He, Stefan Nagel, Zhaogang Song
Journal of Financial Economics January2022 Vol. 143 Issue 1 Pages 57–79.

Digital Currencies: The U.S., China, and the World at a Crossroads

R. Aggarwal, D. Boneh, J. Cohen, L. Diamond, Darrell Duffie, E. Economy, Y.J. Fanusie, N. Ferguson, Hon. J.C. Giancarlo, L. Gloudeman, Zhiguo He, S. Hoffman, M.D. Johnson, S. Levey, S. Mandelker, D. Mazières, H.R. McMaster, E.S. Medeiros, N. Narula, M. Piazzesi, M. Pottinger, E. Prasad, R. Rajan, N. Schadlow, R. Sokolow, J.B. Taylor, G. Tiffert, R.M. Townsend, M. Turpin, K. Warsh, C. Xu
Hoover Institution Publication (Editors: Darrell Duffie and Elizabeth Economy) Hoover Institution Press Stanford 2022

Exchange Rate Reconnect

Andrew Lilley, Matteo Maggiori, Brent Neiman, Jesse Schreger
The Review of Economics and Statistics 2022

Can Staggered Boards Improve Value? Causal Evidence from Massachusetts

Robert Daines, Shelley Xin, Charles C.Y. Wang
Contemporary Accounting Research December2021 Vol. 38 Issue 4 Pages 3053–3084.

Capitalism, Laws, and the Need for Trustworthy Institutions

Anat R. Admati
Oxford Review of Economic Policy November82021 Vol. 37 Issue 4 Pages 678–689.

Risky Corporate Bonds in 2021: A Bubble, or Rational Underwriting in a Low-Rate Environment?

Edward I. Altman, Mike Harmon
The Journal of Portfolio Management November2021