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Lindner: Finance & Real Estate (Topic)

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71,015 Total downloads

Viewing: 51 - 100 of 151 papers

51.

CEO Optimism and the Board's Choice of Successor

Number of pages: 61 Posted: 25 Nov 2012 Last Revised: 26 Aug 2013
Working Paper Series
University of Cincinnati - Department of Finance - Real Estate
Downloads 109
52.

Risk, Uncertainty, and Expected Returns

AFA 2013 San Diego Meetings Paper
Number of pages: 79 Posted: 24 Nov 2012 Last Revised: 29 Aug 2014
Working Paper Series
Georgetown University - Robert Emmett McDonough School of Business and Tsinghua University - PBC School of Finance

Multiple version iconThere are 3 versions of this paper

Downloads 1,328
53.

Access to Public Capital Markets and Employment Growth

Number of pages: 74 Posted: 20 Nov 2012 Last Revised: 07 Jul 2020
Working Paper Series
University of Cincinnati - Department of Finance - Real Estate, Indiana University - Kelley School of Business - Department of Finance and Indiana University - Kelley School of Business - Department of Finance

Multiple version iconThere are 2 versions of this paper

Downloads 578
54.

Stock Return and Cash Flow Predictability: The Role of Volatility Risk

Number of pages: 60 Posted: 18 Nov 2012 Last Revised: 20 Nov 2012
Working Paper Series
Duke University - Finance, Independent and Tsinghua University - PBC School of Finance
Downloads 652
55.

Digesting Anomalies: An Investment Approach

Fisher College of Business Working Paper No. 2012-03-021, Charles A. Dice Center Working Paper No. 2012-021
Number of pages: 95 Posted: 26 Sep 2012 Last Revised: 05 Dec 2012
Working Paper Series
Ohio State University (OSU) - Department of Finance, University of Cincinnati and Ohio State University - Fisher College of Business

Multiple version iconThere are 3 versions of this paper

Downloads 1,523
56.

Housing Vouchers and the Price of Rental Housing

Number of pages: 40 Posted: 05 Sep 2012 Last Revised: 28 Jun 2014
Working Paper Series
University of Cincinnati - Department of Finance - Real Estate and University of Alabama - Culverhouse College of Commerce & Business Administration
Downloads 135
57.

The Inevitable Tension between Long-Term and Short-Term Managerial and Investor Incentives

Midwest Finance Association 2013 Annual Meeting Paper
Number of pages: 60 Posted: 02 Sep 2012 Last Revised: 25 Jan 2013
Working Paper Series
Miami University and University of Cincinnati - Department of Finance - Real Estate
Downloads 69
58.

Variance Risk Premiums and the Forward Premium Puzzle

Number of pages: 67 Posted: 22 Aug 2012 Last Revised: 22 Jun 2016
Working Paper Series
Board of Governors of the Federal Reserve System and Tsinghua University - PBC School of Finance

Multiple version iconThere are 3 versions of this paper

Downloads 678
59.

The Impact of Second Loans on Subprime Mortgage Defaults

Real Estate Economics- Forthcoming
Posted: 08 Aug 2012
Accepted Paper Series
University of Cincinnati - Department of Finance - Real Estate, University of Georgia - Department of Insurance, Legal Studies, Real Estate and University of Cergy-Pontoise

Multiple version iconThere are 2 versions of this paper

60.

Shareholder Influence Over Director Nomination Via Proxy Access: Implications for Agency Conflict and Stakeholders Value

Strategic Management Journal (2012), Mays Business School Research Paper No. 2012-72
Number of pages: 22 Posted: 12 Jul 2012
Accepted Paper Series
Texas A&M University - Department of Management, University of Cincinnati - Department of Finance - Real Estate, Texas A&M University, Texas A&M University - Department of Management and affiliation not provided to SSRN
Downloads 128
61.

In Search of Habitat

Number of pages: 67 Posted: 19 Apr 2012 Last Revised: 25 Mar 2021
Working Paper Series
Shanghai University of Finance and Economics, University of Massachusetts Dartmouth, University of Iowa - Henry B. Tippie College of Business and University of Cincinnati - Department of Finance - Real Estate
Downloads 1,233
62.

Ambiguity Aversion and Variance Premium

Number of pages: 41 Posted: 17 Mar 2012 Last Revised: 16 May 2012
Working Paper Series
Boston University - Department of Economics, Federal Reserve Bank of Atlanta and Tsinghua University - PBC School of Finance

Multiple version iconThere are 2 versions of this paper

Downloads 308
63.

Managerial Confidence and Initial Public Offerings

Journal of Corporate Finance, Vol. 37, 2016, Paris December 2014 Finance Meeting EUROFIDAI - AFFI Paper
Number of pages: 44 Posted: 15 Mar 2012 Last Revised: 24 Oct 2020
Accepted Paper Series
Miami University and University of Cincinnati - Department of Finance - Real Estate
Downloads 39
64.

Can Mutual Funds Profit from Post Earnings Announcement Drift? The Role of Competition

Journal of Banking and Finance, Forthcoming
Number of pages: 61 Posted: 14 Mar 2012 Last Revised: 08 Mar 2020
Accepted Paper Series
University of Texas at Dallas - Naveen Jindal School of Management, Shanghai University of Finance and Economics, University of Iowa - Henry B. Tippie College of Business and University of Cincinnati - Department of Finance - Real Estate
Downloads 1,050
65.

Dynamic Portfolio Choice with Linear Rebalancing Rules

Number of pages: 59 Posted: 27 Feb 2012 Last Revised: 26 Mar 2015
Working Paper Series
Columbia Business School - Decision Risk and Operations and University of Cincinnati - Department of Finance - Real Estate
Downloads 649
66.

Cross-Sectional Tobin's Q

AFA 2013 San Diego Meetings Paper
Number of pages: 43 Posted: 26 Feb 2012 Last Revised: 27 Feb 2012
Working Paper Series
INSEAD, University of Cincinnati and Ohio State University - Fisher College of Business

Multiple version iconThere are 3 versions of this paper

Downloads 163
67.

The Impact of Housing Vouchers on Mobility and Neighborhood Attributes

Real Estate Economics, Forthcoming
Number of pages: 36 Posted: 22 Feb 2012 Last Revised: 07 Apr 2012
Accepted Paper Series
University of Cincinnati - Department of Finance - Real Estate and University of Alabama - Culverhouse College of Commerce & Business Administration

Multiple version iconThere are 2 versions of this paper

Downloads 55
68.

Risk, Uncertainty, and Expected Returns

Georgetown McDonough School of Business Research Paper No. 1993304
Number of pages: 79 Posted: 30 Jan 2012 Last Revised: 29 Aug 2014
Working Paper Series
Georgetown University - Robert Emmett McDonough School of Business and Tsinghua University - PBC School of Finance

Multiple version iconThere are 3 versions of this paper

Downloads 246
69.

Corporate Governance and Diversification

Asia-Pacific Journal of Financial Studies, 41 (1), 2012, 1-31, February 2012
Number of pages: 44 Posted: 25 Dec 2011 Last Revised: 19 Nov 2016
Accepted Paper Series
American University of Sharjah, University of Cincinnati, University of Cincinnati and Northern Kentucky University - Haile/US Bank College of Business
Downloads 119
70.

The Dark Side of Cross-Listing: A New Perspective from China

Number of pages: 50 Posted: 27 Sep 2011 Last Revised: 26 Jan 2020
Working Paper Series
University of Western Ontario - Ivey Business School, Suffolk University - Sawyer Business School, University of Massachusetts Dartmouth and University of Cincinnati - Department of Finance - Real Estate
Downloads 312
71.

Risk, Uncertainty, and Expected Returns

Sixth Singapore International Conference on Finance 2012 Paper
Posted: 30 Jul 2011 Last Revised: 29 Aug 2014
Working Paper Series
Georgetown University - Robert Emmett McDonough School of Business and Tsinghua University - PBC School of Finance

Multiple version iconThere are 3 versions of this paper

72.

Short-Run Bond Risk Premia

AFA 2013 San Diego Meetings Paper
Number of pages: 47 Posted: 27 May 2011 Last Revised: 07 Aug 2012
Working Paper Series
Warwick Business School Finance Group, Boston University - Department of Finance & Economics and Tsinghua University - PBC School of Finance
Downloads 979
73.

Deal Risk, Liquidity Risk, and the Profitability of Risk Arbitrage

Number of pages: 52 Posted: 24 May 2011
Working Paper Series
Government of the United States of America - Office of the Comptroller of the Currency (OCC), University of Cincinnati - Department of Finance - Real Estate and University of Denver - Reiman School of Finance
Downloads 216
74.

Corporate Hedging and Financial Contracting

Number of pages: 58 Posted: 18 May 2011 Last Revised: 06 Apr 2012
Working Paper Series
University of Cincinnati - Department of Finance - Real Estate, affiliation not provided to SSRN and University of Sydney Business School
Downloads 154
75.

Housing Prices and the Optimal Time-on-The-Market Decision

Number of pages: 14 Posted: 13 Apr 2011 Last Revised: 07 Jun 2011
Working Paper Series
University of Melbourne, Cornell University - Samuel Curtis Johnson Graduate School of Management, University of Cincinnati - Department of Finance - Real Estate and Zicklin School of Business, Baruch College - The City University of New York
Downloads 144
76.

Learning and Incentive: A Study on Analyst Response to Pension Underfunding

Number of pages: 45 Posted: 20 Mar 2011 Last Revised: 06 Aug 2012
Working Paper Series
Shanghai University of Finance and Economics, University of Iowa - Henry B. Tippie College of Business, University of Cincinnati - Department of Finance - Real Estate and University of Dayton - School of Business Administration
Downloads 168
77.

The Asset Growth Effect: Insights from International Equity Markets

Number of pages: 58 Posted: 16 Mar 2011 Last Revised: 27 Jan 2013
Working Paper Series
University of Alberta - School of Business, HKU, Faculty of Business and Economics, University of Iowa - Henry B. Tippie College of Business and University of Cincinnati - Department of Finance - Real Estate

Multiple version iconThere are 2 versions of this paper

Downloads 869
78.

Stock Return Predictability and Variance Risk Premia: Statistical Inference and International Evidence

Number of pages: 55 Posted: 04 Mar 2011 Last Revised: 08 Aug 2012
Working Paper Series
Duke University - Finance, University of Chicago, Independent and Tsinghua University - PBC School of Finance

Multiple version iconThere are 2 versions of this paper

Downloads 1,005
79.

Does Equity-Based Compensation Really Have a 'Dark Side'? The Influence of Regulatory Discretion

Fifth Singapore International Conference on Finance 2011
Number of pages: 53 Posted: 01 Feb 2011 Last Revised: 14 May 2012
Working Paper Series
University of Cincinnati - Department of Finance - Real Estate, University of Sydney Business School and Independent
Downloads 182
80.

What are the Social Benefits of Homeownership? Experimental Evidence of Low-Income Households

Journal of Urban Economics, Vol. 67, No. 3, 2010
Number of pages: 35 Posted: 01 Feb 2011
Accepted Paper Series
Brookings Institution, The Urban Institute, Syracuse University - Center for Policy Research and University of Cincinnati - Department of Finance - Real Estate
Downloads 83
81.

Effects of Liquidity on the Nondefault Component of Corporate Yield Spreads: Evidence from Intraday Transactions Data

HKIMR Working Paper No.02/2011
Number of pages: 49 Posted: 30 Jan 2011
Working Paper Series
Board of Governors of the Federal Reserve System and Tsinghua University - PBC School of Finance

Multiple version iconThere are 3 versions of this paper

Downloads 63
82.

The Impact of Leveraged and Inverse ETFs on Underlying Stock Returns

46th Annual AREUEA Conference Paper
Number of pages: 44 Posted: 01 Dec 2010 Last Revised: 19 Aug 2012
Working Paper Series
Dickinson College, UQ Business School and University of Cincinnati - Department of Finance - Real Estate
Downloads 333
83.

The Impact of Second Loans on Subprime Mortgage Defaults

Number of pages: 42 Posted: 29 Nov 2010 Last Revised: 20 Mar 2012
Working Paper Series
University of Cincinnati - Department of Finance - Real Estate, University of Georgia - Department of Insurance, Legal Studies, Real Estate and University of Cergy-Pontoise
Downloads 48
84.

The Optimal Portfolio Weight for Real Estate with Liquidity Risk and Uncertainty Aversion

Number of pages: 37 Posted: 14 Oct 2010
Working Paper Series
UQ Business School and University of Cincinnati - Department of Finance - Real Estate
Downloads 257
85.

Asset Growth and Stock Returns: Evidence from Asian Financial Markets

Number of pages: 43 Posted: 30 Sep 2010 Last Revised: 12 Oct 2010
Working Paper Series
University of Iowa - Henry B. Tippie College of Business, University of Cincinnati - Department of Finance - Real Estate, University of Dayton - School of Business Administration and University of Rhode Island - College of Business Administration
Downloads 313
86.

On the Relation between EGARCH Idiosyncratic Volatility and Expected Stock Returns

Journal of Financial and Quantitative Analysis (JFQA), Forthcoming
Number of pages: 50 Posted: 18 Aug 2010 Last Revised: 03 Jun 2014
Accepted Paper Series
University of Cincinnati - Department of Finance - Real Estate, Miami University and University of Cincinnati - Department of Finance - Real Estate
Downloads 654
87.

Testing Moral Hazard and Tax Benefit Hypotheses: Evidence from Corporate Pension Contributions and Investment Risk

Netspar Discussion Paper No. 05/2010-025
Number of pages: 47 Posted: 04 Aug 2010
Working Paper Series
University of Cincinnati - Department of Finance - Real Estate and University of Dayton - School of Business Administration
Downloads 101
88.

Systemic Risk Contributions

Number of pages: 44 Posted: 29 Jul 2010 Last Revised: 29 Oct 2011
Working Paper Series
Board of Governors of the Federal Reserve System, Tsinghua University - PBC School of Finance and Bank for International Settlements (BIS)
Downloads 977
89.

Intra-Dealer Integration

Number of pages: 36 Posted: 25 Apr 2010
Working Paper Series
Toulouse University, Toulouse Business School, University of Cincinnati - Department of Finance - Real Estate, Toulouse Business School - Barcelona Campus, Toulouse Business School - Economics and Finance and Rutgers Business School

Multiple version iconThere are 2 versions of this paper

Downloads 52
90.

The Cost of Latency in High-Frequency Trading

Number of pages: 55 Posted: 17 Mar 2010 Last Revised: 27 Feb 2013
Working Paper Series
Columbia Business School - Decision Risk and Operations and University of Cincinnati - Department of Finance - Real Estate
Downloads 612
91.

Cross-Sectional Tobin's Q

Number of pages: 43 Posted: 16 Mar 2010 Last Revised: 27 Feb 2012
Working Paper Series
INSEAD, University of Cincinnati and Ohio State University - Fisher College of Business

Multiple version iconThere are 3 versions of this paper

Downloads 125
92.

Credit Default Swap Spreads and Variance Risk Premia

AFA 2011 Denver Meetings Paper
Number of pages: 42 Posted: 11 Mar 2010 Last Revised: 05 Sep 2010
Working Paper Series
Tsinghua University, Tsinghua University - PBC School of Finance and San Francisco State University

Multiple version iconThere are 3 versions of this paper

Downloads 318
93.

Intangible Assets and Cross-Sectional Stock Returns: Evidence from Structural Estimation

Number of pages: 37 Posted: 28 Feb 2010 Last Revised: 02 Jan 2015
Working Paper Series
Cheung Kong Graduate School of Business, Guanghua School of Management, Peking University and University of Cincinnati
Downloads 619
94.

The Magnet Effect of Price Limits: A Logit Approach

Journal of Empirical Finance, Vol. 16, No. 5, 2009, 830-837
Posted: 26 Oct 2009 Last Revised: 20 Nov 2016
Accepted Paper Series
Oregon State University - College of Business, University of Cincinnati and Oregon State University - College of Business
95.

Does Gender Matter in Bank-Firm Relationships? Evidence from Small Business Lending

Number of pages: 49 Posted: 21 Oct 2009
Working Paper Series
European Union - European Commission, University of Cincinnati - Department of Finance - Real Estate and Polytechnic University of Marche - Faculty of Economics
Downloads 298
96.

The Equilibrium Relationships between Performance-Based Pay, Performance, and the Commission and Detection of Fraudulent Misreporting

The Accounting Review, 2018
Number of pages: 58 Posted: 08 Oct 2009 Last Revised: 04 Aug 2018
Accepted Paper Series
University of Sydney Business School and University of Cincinnati - Department of Finance - Real Estate

Multiple version iconThere are 2 versions of this paper

Downloads 205
97.

Expected Stock Returns and Variance Risk Premia

Finance and Economics (FEDS) Discussion Paper No. W 2007-11
Number of pages: 33 Posted: 17 Sep 2009 Last Revised: 17 Sep 2009
Working Paper Series
Duke University - Finance and Tsinghua University - PBC School of Finance

Multiple version iconThere are 2 versions of this paper

Downloads 312
98.

Assessing the Systemic Risk of a Heterogeneous Portfolio of Banks during the Recent Financial Crisis

22nd Australasian Finance and Banking Conference 2009, Finlawmetrics 2010 Conference Paper
Number of pages: 45 Posted: 23 Aug 2009 Last Revised: 29 Oct 2011
Working Paper Series
Board of Governors of the Federal Reserve System, Tsinghua University - PBC School of Finance and Bank for International Settlements (BIS)
Downloads 545
99.

Option Market Making Under Inventory Risk

Review of Derivatives Research, Vol. 12, No. 1, 2009
Number of pages: 28 Posted: 01 Jul 2009
Accepted Paper Series
Cornell Financial Engineering Manhattan and University of Cincinnati - Department of Finance - Real Estate
Downloads 726
100.

Variance Risk Premia, Asset Predictability Puzzles, and Macroeconomic Uncertainty

Number of pages: 50 Posted: 07 May 2009 Last Revised: 24 Aug 2012
Working Paper Series
Tsinghua University - PBC School of Finance

Multiple version iconThere are 3 versions of this paper

Downloads 2,246