Chapter 1 - Securitization
Chapter 2 - Dynamic Security Design and Corporate Financing
Chapter 3 - Do Taxes Affect Corporate Decisions? A Review
Chapter 4 - Executive Compensation: Where We Are, and How We Got There
Chapter 5 - Behavioral Corporate Finance: An Updated Survey
Chapter 6 - Law and Finance After a Decade of Research
Chapter 7 - Endogeneity in Empirical Corporate Finance
Chapter 8 - A Survey of Venture Capital Research
Chapter 9 - Entrepreneurship and the Family Firm
Chapter 10 - Financing in Developing Countries
Chapter 11 - Financial Intermediation, Markets, and Alternative Financial Sectors
Chapter 12 - Advances in Consumption-Based Asset Pricing: Empirical Tests
Chapter 13 - Bond Pricing and the Macroeconomy
Chapter 14 - Investment Performance: A Review and Synthesis
Chapter 15 - Mutual Funds
Chapter 16 - Hedge Funds
Chapter 17 - Financial Risk Measurement for Financial Risk Management
Chapter 18 - Bubbles, Financial Crises, and Systemic Risk
Chapter 19 - Market Liquidity—Theory and Empirical Evidence
Chapter 20 - Credit Derivatives
Chapter 21 - Household Finance: An Emerging Field
Chapter 22 - The Behavior of Individual Investors
Chapter 23 - Risk Pricing over Alternative Investment Horizons
- Index.pdf
- 0 Introduction to the Series.pdf
- 0 Preface.pdf
- Chapter 1 - Securitization.pdf
- Chapter 2 - Dynamic Security Design and Corporate Financing.pdf
- Chapter 3 - Do Taxes Affect Corporate Decisions - A Review.pdf
- Chapter 4 - Executive Compensation - Where We Are, and How We Got There.pdf
- Chapter 5 - Behavioral Corporate Finance - An Updated Survey.pdf
- Chapter 6 - Law and Finance After a Decade of Research.pdf
- Chapter 7 - Endogeneity in Empirical Corporate Finance.pdf
- Chapter 8 - A Survey of Venture Capital Research.pdf
- Chapter 9 - Entrepreneurship and the Family Firm.pdf
- Chapter 10 - Financing in Developing Countries.pdf
- Chapter 11 - Financial Intermediation,Markets and native Financial Sectors.pdf
- Chapter 12 - Advances in Consumption-Based Asset Pricing - Empirical Tests.pdf
- Chapter 13 - Bond Pricing and the Macroeconomy .pdf
- Chapter 14 - Investment Performance_ A Review and Synthesis.pdf
- Chapter 15 - Mutual Funds.pdf
- Chapter 16 - Hedge Funds.pdf
- Chapter 17 - Financial Risk Measurement for Financial Risk Management.pdf
- Chapter 18 - Bubbles, Financial Crises, and Systemic Risk.pdf
- Chapter 19 - Market Liquidity—Theory and Empirical Evidence.pdf
- Chapter 20 - Credit Derivatives.pdf
- Chapter 21 - Household Finance - An Emerging Field.pdf
- Chapter 22 - The Behavior of Individual Investors .pdf
- Chapter 23 - Risk Pricing over Alternative Investment Horizons.pdf