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Executive Editor:
David Hirshleifer
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Geert Bekaert
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Andrew Karolyi
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Alexander Ljungqvist
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Laura Starks
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Pietro Veronesi
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Michael Weisbach
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Papers Published in
2012
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Volume 25, Number 8 (September)
Bank bailouts and moral hazard: Empirical evidence from Germany
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Educational Networks, Mutual Fund Voting Patterns, and CEO Compensation
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No Place Like Home: Familiarity in Mutual Fund Manager Portfolio Choice
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Trust and Credit - The Role of Appearance in Peer-to-Peer Lending
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Volume 25, Number 7 (August)
Evaporating Liquidity
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Volume 25, Number 6 (July)
Creditor Control Rights, Corporate Governance, and Firm Value
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Executive Compensation and the Role for Corporate Governance Regulation
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Volume 25, Number 5 (June)
Flow Toxicity and Liquidity in a High-frequency World
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Liquidity and Asset Returns Under Asymmetric Information and Imperfect Competition
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Volume 25, Number 4 (May)
Financial Leverage, Corporate Investment, and Stock Returns
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Precarious Politics and Return Volatility
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Treating Measurement Error in Tobin's q
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Volume 25, Number 3 (April)
Corporate Liquidity and Capital Structure
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Financing Constraints and the Cost of Capital: Evidence from the Funding of Corporate Pension Plans
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Volume 25, Number 2 (March)
Do country-level investor protections impact security-level contract design? Evidence from foreign bond covenants
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