William Kracaw
Finance - Emeritus
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Top works
- Information Production, Market Signalling, and the Theory of Financial Intermediation (1980) - The Journal of Finance - cites: 528
- Information Production, Market Signalling, and the Theory of Financial Intermediation (1980) - The Journal of Finance - cites: 182
- Corporate takeovers, firm performance, and board composition (1995) - Journal of Corporate Finance - cites: 172
- The Nature of Discipline by Corporate Takeovers (2004) - The Journal of Finance - cites: 151
- Corporate Risk Management and the Incentive Effects of Debt (1990) - The Journal of Finance - cites: 123
- Day-of-the-Week Effects in Financial Futures: An Analysis of GNMA, T-Bond, T-Note, and T-Bill Contracts (1991) - Journal of Financial and Quantitative Analysis - cites: 86
- Optimal Managerial Incentive Contracts and the Value of Corporate Insurance (1987) - Journal of Financial and Quantitative Analysis - cites: 78
- Stock Market Returns and Real Activity: A Note (1984) - The Journal of Finance - cites: 59
- The Wealth Effects of Bank Financing Announcements in Highly Leveraged Transactions (1996) - The Journal of Finance - cites: 27
- Stock Market Returns and Real Activity: A Note (1984) - The Journal of Finance - cites: 22
- Corporate Takeovers, Firm Performance, and Board Composition (1994) - RePEc: Research Papers in Economics - cites: 20
- The Market for Managerial Labor Services and Capital Market Equilibrium (1985) - Journal of Financial and Quantitative Analysis - cites: 15
- Corporate Risk Management and the Incentive Effects of Debt (1990) - The Journal of Finance - cites: 14
- Corporate growth, corporate strategy, and the choice of capital structure (1992) - Managerial and Decision Economics - cites: 13
- Inflation, Corporate Growth, and Corporate Leverage (1987) - Financial Management - cites: 12
- Financial Risk Management: Fixed Income and Foreign Exchange. (1995) - The Journal of Finance - cites: 12
- Intermediation and the market for interest rate swaps (1991) - Journal of Financial Intermediation - cites: 11
- The Wealth Effects of Bank Financing Announcements in Highly Leveraged Transactions (1996) - The Journal of Finance - cites: 9
- Banking, Deregulation, and the New Competition. (1984) - USA Today - cites: 8
- DETERMINANTS OF THE EXECUTION COSTS OF COMMON STOCK TRADES BY INDIVIDUAL INVESTORS (1986) - The Journal of Financial Research - cites: 7
- Information Production, Market Signalling, and the Theory of Financial Intermediation: A Reply (1982) - The Journal of Finance - cites: 4
- Information Production, Market Signalling, and the Theory of Financial Intermediation: A Reply (1982) - The Journal of Finance - cites: 3
- Financial Institutions and Capital Markets (1994) - Medical Entomology and Zoology - cites: 3
- A Comment on Bank Funding Risks, Risk Aversion, and the Choice of Futures Hedging Instrument (1990) - The Journal of Finance - cites: 2
- Sorting Equilibria in Financial Markets: The Incentive Problem (1981) - Journal of Financial and Quantitative Analysis - cites: 1
Topics