Finance Series 01 Sep 2016 Labor Representation in Governance as an Insurance Mechanism E. Han Kim Ernst Maug Christoph Schneider Employees Labour Risk
Finance Series 01 Jun 2014 Banks, Government Bonds, and Default: What do the Data Say? Nicola Gennaioli Alberto Martin Stefano Rossi Capital Risk Banking Bondholders
Law Series 01 Apr 2009 Risk Management in European and American Corporate Law Christoph Van Der Elst Marijn van Daelen Company Law Risk
Finance Series 01 Jun 2014 Governance, Risk Management, and Risk-Taking in Banks René Stulz Risk Banking Culture Incentives
Finance Series 01 May 2009 Why do foreign firms have less idiosyncratic risk than U.S. firms? Söhnke Bartram Gregory Brown René Stulz Markets Risk
Finance Series 01 Dec 2014 The Dark Side of Liquidity Creation: Leverage and Systemic Risk Viral Acharya Anjan Thakor Leverage Liquidity Regulation Risk
Finance Series 01 Dec 2009 Family Firms and Investments Magda Bianco Roberto Golinelli Giuseppe Parigi Capital Family Firms Investment Decisions Risk
Law Series 01 Jan 2015 Decision-Making during the Crisis: Why did the Treasury let Commercial Banks fail? Ettore Croci Gerard Hertig Eric Nowak Banking Crisis Risk
Finance Series 01 Mar 2010 Avoiding Eight-Alarm Fires in the Political Economy of Systemic Risk Management Jeffrey Gordon Christopher Muller Political Economy Risk Crisis Innovation
Finance Series 01 Sep 2015 Competition Theory of Risk Management Failures Matthieu Bouvard Samuel Lee Banking Crisis Risk Trading
Law Series 01 Jun 2010 The Risks of Corporate Legal Principles of Risk Management Christoph Van Der Elst Risk Supervision
Law Series 01 Mar 2016 The Mess at Morgan: Risk, Incentives and Shareholder Empowerment Jill Fisch Incentives Risk Securities Shareholders