John Hund

University of Georgia

Athens, GA 30602

United States

SCHOLARLY PAPERS

11

DOWNLOADS
Rank 9,087

SSRN RANKINGS

Top 9,087

in Total Papers Downloads

5,438

SSRN CITATIONS
Rank 6,668

SSRN RANKINGS

Top 6,668

in Total Papers Citations

56

CROSSREF CITATIONS

113

Scholarly Papers (11)

1.

Credit Ratings across Asset Classes: A Long-Term Perspective

Review of Finance, Forthcoming
Number of pages: 67 Posted: 15 Aug 2011 Last Revised: 07 Jun 2018
Pennsylvania State University - Department of Finance, Pennsylvania State University - Department of Finance and University of Georgia
Downloads 1,995 (8,008)
Citation 18

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Credit Ratings, Credit Standards, Rating Agency, Ratings Comparability, Regulatory Capital

Estimating Systemic Risk in the International Financial System

AFA 2005 Philadelphia Meetings Paper; EFA 2004 Maastricht Meetings Paper No. 4449, WBS Finance Group Research Paper No. 32
Number of pages: 61 Posted: 30 Jun 2004
Warwick Business School - Department of Finance, University of North Carolina (UNC) at Chapel Hill - Finance Area and University of Georgia
Downloads 836 (29,885)
Citation 3

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Systemic risk, default risk, credit risk, banks, exposure, emerging markets, 9/11

Estimating Systemic Risk in the International Financial System

Journal of Financial Economics, Vol. 86, No. 3, pp. 835-869, December 2007, WBS Finance Group Research Paper No. 69
Number of pages: 53 Posted: 19 Oct 2006 Last Revised: 23 Dec 2019
University of Georgia, Warwick Business School - Department of Finance and University of North Carolina (UNC) at Chapel Hill - Finance Area
Downloads 595 (47,399)
Citation 3

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Systemic risk, default risk, credit risk, banks, exposure, emerging markets

Estimating Systemic Risk in the International Financial System

FDIC CFR Working Paper No. 2005-12, WBS Finance Group Research Paper No. 47
Number of pages: 61 Posted: 19 Aug 2005
Warwick Business School - Department of Finance, University of Georgia and University of North Carolina (UNC) at Chapel Hill - Finance Area
Downloads 143 (218,360)
Citation 3

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Systemic risk, default risk, credit risk, banks, exposure, emerging markets, 9/11

3.

Liquidity and Credit Risk in Emerging Debt Markets

Number of pages: 45 Posted: 25 Mar 2008
John Hund and David A. Lesmond
University of Georgia and Tulane University - A.B. Freeman School of Business
Downloads 639 (43,778)
Citation 45

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liquidity, emerging markets, credit risk, sovereign debt

4.

Apples to Apples: The Economic Benefit of Corporate Diversification

Number of pages: 38 Posted: 17 Mar 2012 Last Revised: 26 Jul 2012
John Hund, Donald Monk and Sheri Tice
University of Georgia, Fisher School of Accounting and Tulane University - A.B. Freeman School of Business
Downloads 268 (122,872)
Citation 7

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organizational structure, diversification, firm valuation, conglomerates, coarsened exact matching

5.

Opioid Crisis Effects On Municipal Finance

Number of pages: 70 Posted: 12 Sep 2019 Last Revised: 26 Mar 2020
Pennsylvania State University - Department of Finance, University of Georgia, Pennsylvania State University - Smeal College of Business and Pennsylvania State University - Department of Finance
Downloads 218 (150,308)
Citation 5

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Access to Finance, Credit Ratings, Municipal Bonds, Opioid, Pill Mill, Prescription Drug Monitoring Program

6.

A Manufactured Diversification Discount

Number of pages: 59 Posted: 08 Dec 2014 Last Revised: 19 Jan 2017
John Hund, Donald Monk and Sheri Tice
University of Georgia, Fisher School of Accounting and Tulane University - A.B. Freeman School of Business
Downloads 214 (152,900)
Citation 6

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Organizational Structure, Corporate Diversification, Firm Valuation, Coarsened Exact Matching

7.

Investor Attention and Municipal Bond Returns

Number of pages: 54 Posted: 20 Sep 2017 Last Revised: 16 Apr 2020
Pennsylvania State University - Department of Finance, University of Georgia and Pennsylvania State University - Smeal College of Business
Downloads 192 (169,207)

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Market segmentation, market efficiency, municipal bonds, bond return indices, bond insurance, investor attention

8.

Concentrating on Q and Cash Flow

Number of pages: 40 Posted: 03 Feb 2017
Gustavo Grullon, John Hund and James Weston
Rice University - Jesse H. Jones Graduate School of Business, University of Georgia and Rice University - Jesse H. Jones Graduate School of Business
Downloads 123 (244,884)

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Aggregate Investment, Q-Theory, Cashflow, Accelerator

9.

A Granular Analysis of Corporate Investment

Number of pages: 39 Posted: 03 Aug 2013
Gustavo Grullon, John Hund and James Weston
Rice University - Jesse H. Jones Graduate School of Business, University of Georgia and Rice University - Jesse H. Jones Graduate School of Business
Downloads 119 (251,058)
Citation 4

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aggregate investment, financial constraints, investment concentration, q-theory

10.

The Price of Safety: The Evolution of Municipal Bond Insurance Value

Number of pages: 60 Posted: 19 Oct 2018 Last Revised: 15 May 2020
Pennsylvania State University - Department of Finance, University of Georgia and Pennsylvania State University - Smeal College of Business
Downloads 96 (291,304)
Citation 3

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municipal markets; financial guaranty; over-insurance; yield inversion; conflicts of interest

11.

Uncertainty About Average Profitability and the Diversification Discount

Journal of Financial Economics (JFE), Vol. 96, pp. 463-484, 2010, AFA 2009 San Francisco Meetings Paper
Posted: 27 Mar 2008 Last Revised: 19 Oct 2010
John Hund, Donald Monk and Sheri Tice
University of Georgia, Fisher School of Accounting and Tulane University - A.B. Freeman School of Business

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Diversification discount, Rational learning models, Internal capital markets