Finance Series 01 Oct 2012 Money Market Funds Run Risk: Will Floating Net Asset Value Fix the Problem? Jeffrey Gordon Christopher Gandia Banking Crisis Markets
Finance Series 01 Oct 2012 Financial Disclosure and Market Transparency with Costly Information Processing Marco Di Maggio Marco Pagano Markets Reporting Supervision
Finance Series 01 Jan 2013 Taxation and Regulation of Banks to Manage Systemic Risk Brian Coulter Colin Mayer John Vickers Tax Banking Risk
Finance Series 01 Jan 2013 L-Shares: Rewarding Long-Term Investors Patrick Bolton Frédéric Samama Ownership Performance Shareholders
Loyalty Shares with Tenure Voting - a Coasian bargain? Evidence from the Loi Florange Experiment Speaker(s) Marco Becht Discussant(s) Ernst Maug
Finance Series 01 Jan 2013 The Brain Gain of Corporate Boards: Evidence from China Mariassunta Giannetti Guanmin Liao Xiaoyun Yu Boards
Finance Series 01 Feb 2013 Management Insulation and Bank Failures Daniel Ferreira David Kershaw Tom Kirchmaier And more (...) Activism Banking Crisis Shareholders
Finance Series 01 Jun 2015 Barriers to Boardrooms Renée Adams Tom Kirchmaier Boards Codes Diversity Management
Finance Series 01 Feb 2013 The Effects of Management-Board Ties on IPO Performance Salim Chahine Marc Goergen Boards IPO Management Performance
Finance Series 01 Feb 2013 Venture Capital Meets Contract Theory: Risky Claims or Formal Control? Giacinta Cestone Cash Flow Rights Contracts Control Venture capital
Finance Series 01 Feb 2013 The Role of Institutional Investors in Public-to-Private Transactions Emanuele Bajo Massimiliano Barbi Marco Bigelli And more (...) Institutional Investors Privatisation Family Firms