31 Publications (Page 1 of 2)
2020
Annual Report of the Society for Financial Studies for 2018–2019Ellul, Andrew⋅Ellul, Andrew⋅Goldstein, Itay⋅Goldstein, Itay⋅Holden, Craig⋅Holden, Craig⋅Masulis, Ron⋅Masulis, Ron⋅Pontiff, Jeffrey⋅Pontiff, Jeffrey⋅Schoar, Antoinette and Schoar, AntoinetteThe Review of Financial Studies, vol. 33, (no. 2), pp. 1008, 20200201.
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2019
Career Risk and Market Discipline in Asset ManagementEllul, Andrew⋅Pagano, Marco and Scognamiglio, AnnalisaThe Review of Financial Studies, 2019-06-10.
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Corporate leverage and employees’ rights in bankruptcyEllul, Andrew and Pagano, MarcoJournal of Financial Economics, vol. 133, (no. 3), pp. 707, September 2019.
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2018
Career risk and market discipline in asset managementEllul, Andrew⋅Pagano, Marco and Scognamiglio, AnnalisaCFS Working Paper Series, vol. 602, 2018.
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Do financial analysts restrain insiders' informational advantage?Ellul, AndrewJournal of financial and quantitative analysis, vol. 53, (no. 1), pp. 241, 2018.
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Employment and wage insurance within firmsEllul, AndrewThe review of financial studies, vol. 31, (no. 4), pp. 1340, 2018.
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Employment and Wage Insurance within Firms: Worldwide EvidenceEllul, Andrew⋅Pagano, Marco and Schivardi, FabianoThe Review of Financial Studies, vol. 31, (no. 4), pp. 1340, 20180401.
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Insurers as asset managers and systemic riskEllul, Andrew⋅Jotikasthira, Chotibhak⋅Kartasheva, Anastasia⋅Lundblad, Christian and Wagner, Wolf2018, 2018.
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Spillover effects from risk regulation on the asset side to asset marketsEllul, Andrewpp. 192, 2018.
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2016
Transparency, Tax Pressure, and Access to FinanceEllul, Andrew⋅Jappelli, Tullio⋅Pagano, Marco and Panunzi, FaustoReview of Finance, vol. 20, (no. 1), pp. 76, 2016-03-01.
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2015
Employment and wage insurance within firms: Worldwide evidenceEllul, Andrew⋅Pagano, Marco and Schivardi, FabianoCFS Working Paper Series, vol. 517, 2015.
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Is historical cost accounting a Panacea?Ellul, AndrewThe journal of finance, vol. 70, (no. 6), pp. 2538, 2015.
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Is Historical Cost Accounting a Panacea? Market Stress, Incentive Distortions, and Gains TradingEllul, Andrew⋅JOTIKASTHIRA, CHOTIBHAK⋅LUNDBLAD, CHRISTIAN T and WANG, YIHUIThe Journal of Finance, vol. 70, (no. 6), pp. 2538, 2015-12-00.
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The Role of Risk Management in Corporate GovernanceEllul, AndrewAnnual Review of Financial Economics, vol. 7, (no. 1), pp. 299, 20151207.
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2014
Mark‐to‐market accounting and systemic risk: evidence from the insurance industryEllul, Andrew⋅Jotikasthira, Chotibhak⋅Lundblad, Christian T and Wang, YihuiEconomic Policy, vol. 29, (no. 78), pp. 341, April 2014.
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2013
Investors' Horizons and the Amplification of Market ShocksCella, Cristina⋅Ellul, Andrew and Giannetti, MariassuntaThe Review of Financial Studies, vol. 26, (no. 7), Jul 2013.
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Stronger risk controls, lower riskEllul, Andrew and Yerramilli, VijayThe journal of finance, vol. 68, (no. 5), pp. 1803, 2013.
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Stronger Risk Controls, Lower Risk: Evidence from U.S. Bank Holding CompaniesEllul, Andrew and Yerramilli, VijayThe Journal of Finance, vol. 68, (no. 5), Oct 2013.
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2011
Regulatory pressure and fire sales in the corporate bond marketEllul, Andrew⋅Jotikasthira, Chotibhak and Lundblad, Christian TJournal of Financial Economics, vol. 101, (no. 3), pp. 620, 2011.
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2010
Inheritance Law and Investment in Family FirmsEllul, Andrew⋅Pagano, Marco and Panunzi, FaustoThe American Economic Review, vol. 100, (no. 5), Dec 2010.
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2009
Inheritance law and investment in family firmsPanunzi, Fausto⋅Ellul, Andrew and Pagano, MarcoNota di lavoro // Fondazione Eni Enrico Mattei: Institutions and markets, vol. 6.2009, 2009.
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2007
Order dynamics: Recent evidence from the NYSEEllul, Andrew⋅Ellul, Andrew⋅Holden, Craig W⋅Holden, Craig W⋅Jain, Pankaj⋅Jain, Pankaj⋅Jennings, Robert and Jennings, RobertJournal of Empirical Finance, vol. 14, (no. 5), pp. 661, 2007.
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2006
IPO Underpricing and After-Market LiquidityEllul, Andrew and Pagano, MarcoThe Review of Financial Studies, vol. 19, (no. 2), pp. 381, Summer 2006.
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Ripples through marketsEllul, Andrew(no. 1), pp. 196, 2006.
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