Publications

Browse or search publications from Stanford GSB faculty.

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Decentralized Mining in Centralized Pools

Lin William Cong, Zhiguo He, Jiasun Li
The Review of Financial Studies March2021 Vol. 34 Issue 3 Pages 1191–1235.

Firm Selection and Corporate Cash Holdings

Juliane Begenau, Berardino Palazzo
Journal of Financial Economics March2021 Vol. 139 Issue 3 Pages 697–718.

How Venture Capitalists Make Decisions

Paul Gompers, Will Gornall, Steven N. Kaplan, Ilya A. Strebulaev
Harvard Business Review March2021 Vol. 99 Issue 2 Pages 70–78.

Robust Benchmark Design

Darrell Duffie, Piotr Dworczak
Journal of Financial Economics March2021 Vol. 142 Pages 775-802.

The Global Capital Allocation Project

Matteo Maggiori, Brent Neiman, Jesse Schreger
NBER The Reporter March2021 Issue 1 Pages 16–19.

Mortgage Design in an Equilibrium Model of the Housing Market

Adam Guren, Arvind Krishnamurthy, Timothy James McQuade
Journal of Finance February2021 Vol. 76 Issue 1 Pages 113–168.

The Joint Dynamics of Investor Beliefs and Trading During the COVID-19 Crash

Stefano Giglio, Matteo Maggiori, Johannes Stroebel, Stephen Utkus
Proceedings of the National Academy of Sciences of the USA January262021 Vol. 118 Issue 4

Algorithmic Discrimination and Input Accountability under the Civil Rights Acts

Robert P. Bartlett, Adair Morse, Nancy Wallace, Richard Stanton
Berkeley Technology Law Journal 2021 Vol. 36

Evaluating Firm-Level Expected-Return Proxies: Implications for Estimating Treatment Effects

Charles M. C. Lee, Eric C. So, Charles C. Y. Wang
The Review of Financial Studies 2021 Vol. 34 Issue 4 Pages 1907–1951.

Tick Size Tolls: Can a Trading Slowdown Improve Earnings News Discovery?

Charles M. C. Lee, Edward M. Watts
The Accounting Review 2021 Vol. 96 Issue 3 Pages 373–401.

Dealing with a Liquidity Crisis: Economic and Financial Policies in China During the Coronavirus Outbreak

Zhiguo He, Bibo Liu
Impact Of Covid-19 On Asian Economies And Policy Responses (Eds. S. Agarwal, Z. He, B. Yeung) World Scientific Singapore December2020 Pages 55–64.

Firm Volatility in Granular Networks

Bernard Herksovic , Bryan Kelly, Hanno Lustig, Stijn Van Nieuwerburgh
Journal Political Economy November2020 Vol. 128 Issue 11 Pages 4097–4162.

The Macroeconomics of Corporate Debt

Markus Brunnermeier, Arvind Krishnamurthy
The Review of Corporate Finance Studies November2020 Vol. 9 Issue 3 Pages 656-665.

Are U.S. Treasury Bonds Still a Safe Haven?

Zhiguo He, Arvind Krishnamurthy
NBER Reporter October2020 Issue 3 Pages 20–24.

Equity Is Cheap for Large Financial Institutions

Priyank Gandhi, Hanno Lustig, Alberto Plazzi
The Review of Financial Studies September2020 Vol. 33 Issue 9 Pages 4231–4271.

Financial Literacy and Financial Resilience: Evidence from Around the World

Leora Klapper, Annamaria Lusardi
Financial Management September2020 Vol. 49 Issue 3 Pages 589–614.

Cost Saving and the Freezing of Corporate Pension Plans

Joshua D. Rauh, Irina Stefanescu, Stephen P. Zeldes
Journal of Public Economics August2020 Vol. 188

Disguised Corruption: Evidence from Consumer Credit in China

Sumit Agarwal, Wenlan Qian, Amit Seru, Jian Zhang
Journal of Financial Economics August2020 Vol. 137 Issue 2 Pages 430–450.

Gravity in the Exchange Rate Factor Structure

Hanno Lustig, Robert Richmond
Review of Financial Studies August2020 Vol. 33 Issue 8 Pages 3492–3540.

Learning From Disagreement in the U.S. Treasury Bond Market

Marco Giacoletti, Kristoffer T. Laursen, Kenneth J. Singleton
Journal of Finance July2020