Scandinavian Working Papers in Economics

SIFR Research Report Series,
Institute for Financial Research

2001 2002 2003 2004 2005 2006 2007 2008 2009 2010

No 60: Large Shareholders and Corporate Policies
Henrik Cronqvist and Rüdiger Fahlenbrach

No 59: Information Misweighting and Stock Recommendations
Jose Vicente Martinez

No 58: The Long-run Risk Model: Dynamics and Cyclicality of Interest Rates
Henrik Hasseltoft

No 57: One Share - One Vote: The Theory
Mike Burkart and Samuel Lee

No 56: The Cyclical Behaviour of European Bank Capital Buffers
Terhi Jokipii and Alistair Milne

No 55: A Challenger to the Limit Order Book: The NYSE Specialist
Sabrina Buti

No 54: Liquidity and Manipulation of Executive Compensation Schemes
Ulf Axelson and Sandeep Baliga

No 53: Learning by Investing: Evidence from Venture Capital
Morten Sorensen

No 52: High-Speed Natural Selection in Financial Markets with Large State Spaces
Yuriy Fedyk and Johan Walden

No 51: Direct Evidence of Dividend Tax Clienteles
Magnus Dahlquist, Göran Robertsson and Kristian Rydqvist

No 50: Favoritism or Markets in Capital Allocation?
Mariassunta Giannetti and Xiaoyun Yu

No 49: Why are Buyouts Levered? The Financial Structure of Private Equity Funds
Ulf Axelson, Per Strömberg and Michael S. Weisbach

No 48: Does Corporate Culture Matter for Firm Policies?
Henrik Cronqvist, Angie Low and Mattias Nilsson

2001 2002 2003 2004 2005 2006 2007 2008 2009 2010
Download statistics for the series and S-WoPEc

Questions (including download problems) about the papers in this series should be directed to Anki Helmer ()
Report other problems with accessing this service to Sune Karlsson ().

This page generated on 2024-09-13 22:17:04.