Browse or search publications from Stanford GSB faculty.
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Financial Literacy and the Need for Financial Education: Evidence and Implications
Annamaria Lusardi
Swiss Journal of Economics and Statistics
2019
Vol. 155
Issue 1
Prone to Fail: The Pre-Crisis Financial System
Darrell Duffie
Journal of Economic Perspectives
2019
Vol. 33
Issue 1
Pages 81–106.
Repatriation Taxes and Foreign Cash Holdings: The Impact of Anticipated Tax Reform
Lisa De Simone, Joseph D. Piotroski, Rimmy Tomy
Review of Financial Studies
2019
Vol. 32
Pages 3105–3143.
Technological Links and Return Predictability
Charles M. C. Lee, Stephen Teng Sun, Rongfei Wang, Ran Zhang
Journal of Financial Economics
2019
Vol. 132
Pages 76-96.
Brexit and Uncertainty: Insights from the Decision Maker Panel
Nicholas A. Bloom, Philip Bunn, Scarlet Chen, Paul Mizen, Pawel Smietanka, Greg Thwaites, Gary Young
Fiscal Studies
December2018
Vol. 39
Issue 4
Pages 555-580.
Fintech, Regulatory Arbitrage, and the Rise of Shadow Banks
Greg Buchak, Gregor Matvos, Tomasz Piskorski, Amit Seru
Journal of Financial Economics
December2018
Vol. 130
Issue 3
Pages 453-483.
Intermediary Asset Pricing and the Financial Crisis
Zhiguo He, Arvind Krishnamurthy
Annual Review of Financial Economics
November2018
Vol. 10
Pages 173–197.
The Hot-Hand Fallacy: Cognitive Mistakes or Equilibrium Adjustments? Evidence from Major League Baseball
Brett Green, Jeffrey Zwiebel
Management Science
November2018
Vol. 64
Issue 11
Pages 4967-5460.
Moral Hazard and the Optimality of Debt
Benjamin Hébert
The Review of Economic Studies
October12018
Vol. 85
Issue 4
Pages 2214-2252.
Financial Regulatory Reform After the Crisis: An Assessment
Darrell Duffie
Management Science
October2018
Vol. 64
Issue 10
Pages 4471–4965.
Slow to Hire, Quick to Fire: Employment Dynamics with Asymmetric Responses to News
Cosmin Ilut, Matthias Kehrig, Martin K. Schneider
Journal of Political Economy
October2018
Vol. 126
Issue 5
Pages 2011-2071.
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.
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.
Are Volatility Expectations in Different Countries Interdependent? A Data-Driven Solution to Structural VAR Identification for Implied Equity Volatility Indices
Tim de Silva
Undergraduate Economic Review
March92018
Vol. 14
Issue 1
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