Journal of Applied Corporate Finance
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CEOs, Abandoned Acquisitions, and the Media
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The Great Crash of 1929: A Look Back After 90 Years
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DESIGNING CAPITAL STRUCTURE TO CREATE SHAREHOLDER VALUE
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A LOOK AT INDIRECT FOREIGN CURRENCY EXPOSURE
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Executive Summaries
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FLOATING CURRENCIES, CAPITAL CONTROLS, OR CURRENCY BOARDS: WHAT'S THE BEST REMEDY FOR THE CURRENCY CRISES?
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A Fireside Chat with Raj Gupta: What It Takes to Create Long‐Term Value
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The Keys to Success in Spinoffs
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THE ECONOMICS OF PREPACKAGED BANKRUPTCY
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Transaction Costs for German Institutional Investors: Empirical Evidence from Stock Markets
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London Business School Roundtable on Shareholder Activism in the U.K.
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Issue Information ‐ TOC
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A MESSAGE FROM THE EDITOR
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AN APPROPRIATE FEDERAL ROLE IN THE MARKET FOR CORPORATE CONTROL
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MEASURING THE COST OF CAPITAL IN AN INTERNATIONAL CAPM FRAMEWORK
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CORPORATE CASH HOLDINGS
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NEXT STEPS IN CORPORATE GOVERNANCE REFORM: 13(D) RULES AND CONTROL PERSON LIABILITY
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Issue Information ‐ TOC
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Reforming the Bookbuilding Process for IPOs
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A Message from the Editor
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Morgan Stanley Roundtable on Private Equity and Its Import for Public Companies
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After the Tax Breaks Fade: What Executives Need to Know About Transfer Pricing
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Performance Measurement for Nonprofits
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The Pragmatic Theory of the Firm
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Texas Private Equity Conference 2022: Session I: The State of and Prospects for U.S. Private Equity
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EVA® AND MARKET VALUE
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FINAL THOUGHT
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Blockholders Are More Common in the United States Than You Might Think*
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PROJECT VALUATION UNDER UNCERTAINTY: WHEN DOES DCF FAIL?
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A Practitioners’ Guide to Leverage through Downturns
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Does Mandatory Shareholder Voting Prevent Bad Acquisitions? The Case of the United Kingdom
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CREATING RELATIONSHIPS BETWEEN CORPORATIONS AND INSTITUTIONAL INVESTORS: AN INTRODUCTION
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EVA™: FAST AND FANTASY
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Risk Management, Corporate Governance, and the Search for Long‐Term Investors
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A LETTER TO THE EDITOR
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A Message from the Editor
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Vanderbilt university roundtable on the capital structure puzzle
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The Gap between the Theory and Practice of Corporate Valuation: Survey of European Experts
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STRATEGY AND SHAREHOLDER VALUE CREATION: THE REAL OPTIONS FRONTIER
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LARGE BANK STOCKHOLDERS IN GERMANY: SAVIORS OR SUBSTITUTES?
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A Message from the Editor
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Are Open Markets Good for Foreign Investors and Emerging Nations?
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Seeking Capital Abroad: Motivations, Process, and Suggestions for Success
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MAXIMIZING SHAREHOLDER VALUE AT THE PRIVATE COMPANY
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“LIES, DAMNED LIES, AND STATISTICS”: WHY THE TRADE DEFICIT DOESN'T MATTER IN A BORDERLESS WORLD
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Deleveraging Corporate America: Job and Business Recovery Through Debt Restructuring
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AN INTRODUCTION TO GAME THEORY AND BUSINESS STRATEGY
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WHAT MAKES YOU THINK U.S. CAPITAL IS SO EXPENSIVE?
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HEDGING BUSINESS CYCLE RISK WITH MACRO SWAPS AND OPTIONS
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SPECIFIC AND GENERAL KNOWLEDGE, AND ORGANIZATIONAL STRUCTURE
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Separating Leadership from Pay
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IPO or SBO?: The Increasing Importance of Operational Performance for Private Equity Exits Following the Global Financial Crisis of 2007–08
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How “Competitive Pay” Undermines Pay for Performance (and What Companies Can Do to Avoid That)
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THE PERFORMANCE OF REAL ESTATE AS AN ASSET CLASS
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Syndicated Leveraged Loans During and After the Crisis and the Role of the Shadow Banking System
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Bankers Trust and the Birth of Modern Risk Management
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Testimony of Alan J. Auerbach
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Intangibles and Sustainability: Holistic Approaches to Measuring and Managing Value Creation
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Executive Summaries
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The Economic Impact of Chapter 11 Bankruptcy versus Out‐of‐Court Restructuring
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ESTIMATING THE TAX BENEFITS OF DEBT
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Designing a U.S. Market for CO2
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Executive Summaries
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An Empirical Model of Optimal Capital Structure1
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The Controversy Over Executive Compensation
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Collateralized Loan Obligations: A Primer
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INITIAL PUBLIC OFFERINGS: GOING BY THE BOOK
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Executive Summaries
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SILICON VALLEY'S HIGH‐VELOCITY LABOR MARKET
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Roundtable on Corporate Disclosure
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Comment on “Terminal Value, Accounting Numbers, and Inflation” by Gunther Friedl and Bernhard Schwetzler
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Are Incentives the Bricks or the Building?
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HOW TO USE THE HOLES IN BLACK‐SCHOLES
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Replenishing the Banking Sector: Managing Bank Capital in the Post‐Crisis World*
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A Look Back at Merton Miller's “Financial Markets and Economic Growth”
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Management Buy‐outs, Debt, and Efficiency: Some Evidence From the U.K.
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THE EVA REVOLUTION
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LEVERAGED RECAPS AND THE CAUSES OF FINANCIAL DISTRESS
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Operational Improvement: The Key to Value Creation in Private Equity
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Estimating the Cost of Capital Using Stock Prices and Near‐term Earnings Forecasts
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CONVERTIBLE SECURITIES: A TOLLBOX OF FLEXIBLE FINANCIAL INSTRUMENTS FOR CORPORATE ISSUERS
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Explaining Differences in the Quality of Governance Among Companies: Evidence from Emerging Markets
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Ernst & Young LLP Roundtable on Activist Investors and Their Implications for Corporate Managers
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Risk and Regulation in Derivatives (or Why Derivatives Are a Blessing, Not a Curse)
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Executive Summaries
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Managing M&A Risk with Collars, Earn‐outs, and CVRs*
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Private Equity: Boom and Bust?
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PRICING FINANCIAL FUTURES CONTRACTS: AN INTRODUCTION
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The Challenge of Valuing Patents and Early‐State Technologies
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COLUMBIA BUSINESS SCHOOL ROUNDTABLE ON: The Fed's Response to the Global Financial Crisis—and Now the Pandemic
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IS AMERICAN CORPORATE GOVERNANCE FATALLY FLAWED?
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BANK OF AMERICA ROUNDTABLE ON THE REAL OPTIONS APPROACH TO CREATING VALUE IN THE NEW ECONOMY
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The Return of the Recap: Achieving Private Equity Benefits as a Public Company
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Internal Governance Does Matter to Equity Returns but Much More So During “Flights to Quality”
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Corporate Governance and the Cost of Capital: Evidence from Australian Companies
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A Proposal for Expensing Employee Compensatory Stock Options for Financial Reporting Purposes
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USES AND ABUSES OF CURRENCY OPTIONS
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Corporate Disclosure of Material Information: The Evolution—and the Need to Evolve Again
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Patient Power: The Free‐Enterprise Approach to the U.S. Health Care Problem
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FINANCIAL INNOVATION AND ECONOMIC PERFORMANCE
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Picking Your Tick: Toward a New Theory of Stock Splits
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Specific Knowledge and Divisional Performance Measurement
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INTERNATIONAL PRODUCTION LOCATION AND “PRO FORMA” FINANCIAL HEDGING OF EXCHANGE RATE RISK
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The income bond puzzle
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Do Bad Bidders Become Good Targets?
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The Upside to Fiscal Challenges: Innovative Partnerships Between Public and Private Sector
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Issue Information ‐ TOC
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Share Repurchases and the Need for External Finance
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The Economics of Wind Energy
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WHAT'S IN THIS ISSUE‐A MESSAGE FROM THE EDITOR
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Building a Bridge between Marketing and Finance
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THE BALANCED CAPITAL STRUCTURE
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How Has Takeover Competition Changed Over Time?
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STRATEGIC PLANNING, PERFORMANCE MEASUREMENT, AND INCENTIVE COMPENSATION
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CARE/CEASA Roundtable on Managing Uncertainty and Risk
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USING PROJECT FINANCE TO FUND INFRASTRUCTURE INVESTMENTS
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MANAGEMENT FADS AND ORGANIZATIONAL ARCHITECTURE
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The case for reinventing financial reporting in the 21st century
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DUTCH AUCTION SHARE REPURCHASES: THEORY AND EVIDENCE
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Derivatives: Understanding Their Usefulness and Their Role in the Financial Crisis
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Four Things No One Will Tell You About ESG Data
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American Enterprise Institute Roundtable: Government Policies Reshape the Banking System
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Dividends:ThePuzzle
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BEHAVIORAL CORPORATE FINANCE
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Insurance Derivatives: A New Asset Class for the Capital Markets and a New Hedging Tool for the Insurance Industry
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RESTRUCTURING THE U.S. BANKING SYSTEM FOR GLOBAL COMPETITION
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Evidence on What CFOs Think About the IPO Process: Practice, Theory, and Managerial Implications
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How Companies Can Use Hedging to Create Shareholder Value
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Executive Summaries
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A MESSAGE FROM THE EDITOR
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FROM CASSANDRA WITH LOVE…
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Sustainability as Adaptability
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Sustainability at Walmart: Success over the Long Haul
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INTERNATIONAL COMPETITIVENESS OF U.S. FUTURES EXCHANGES*
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HOW TO FIX ACCOUNTING—MEASURE AND REPORT ECONOMIC PROFIT
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VALUE MAXIMIZATION AND STAKEHOLDER THEORY: COMPATIBLE OR NOT?
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MEASURING CORPORATE TAX RATES AND TAX INCENTIVES: A NEW APPROACH
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“Taxation and Corporate Debt”
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A Message from the Editor
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THE DETERMINANTS OF SELECTIVE EXCHANGE RISK MANAGEMENT–EVIDENCE FROM GERMAN NON‐FINANCIAL CORPORATIONS
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Attracting Long‐Term Shareholders
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TO WHOM DOES THE COMPANY BELONG?: A NEW MANAGEMENT MISSION FOR THE INFORMATION AGE
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HOW FIRMS MANAGE RISK: THE OPTIMAL MIX OF LINEAR AND NON‐LINEAR DERIVATIVES
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A Message from the Editor
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HARVESTING THE ENTREPRENEURIAL VENTURE: A TIME FOR CREATING VALUE
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JOINING THE NEW ECONOMY
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Two‐Sided Matching: How Corporate Issuers and Their Underwriters Choose Each Other
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CORPORATE GOVERNANCE, ETHICS, AND ORGANIZATIONAL ARCHITECTURE
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Strategic Financial Management: Lessons from Seasoned Equity Offerings
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PERSPECTIVES ON RESTRUCTURING IN EUROPE: INTERVIEWS WITH FOUR EUROPEAN EXECUTIVES
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BANKING ON REAL OPTIONS
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Lies, Damn Lies, and Statistics: Why a Widely Used Sustainability Metric Fails and How to Improve It
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A CASE OF MISTAKEN IDENTITY: THE USE OF EXPENSE/REVENUE RATIOS TO MEASURE RATIOS TO MEASURE BANK EFFICIENCY
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American Enterprise Institute roundtable on addressing the underlying causes of the banking crisis of 2023
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CAPITAL MARKETS AND DEMOCRACY
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ROUNDTABLE DISCUSSION OF CURRENT ISSUES IN COMMERCIAL BANKING:
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Columbia Law School Roundtable on A Governance Research Agenda for the Academy
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THE CASE FOR EXPENSING STOCK OPTIONS AGAINST EARNINGS
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Carl Walter and exposing the brittle facade of Chinese public as well as corporate finance
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FinTech, BigTech, and the Future of Banks
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What's In This Issue–A Message From The Editor
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A Message From the Editor
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TOWARD A GLOBAL MODEL OF VENTURE CAPITAL?
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Why EVA Bonus Plans Failed—and How to Revive Them
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GLOBALIZATION OF CAPITAL MARKETS AND THE ASIAN FINANCIAL CRISIS
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Executive Summaries
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The Next Wave of ESG Integration: Lessons from Institutional Investors
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Private Equity, the Rise of Unicorns, and the Reincarnation of Control‐based Accounting
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Executive Summaries
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SHAREHOLDERS AS AGENTS AND PRINCIPALS: THE CASE FOR SOUTH AFRICA'S CORPORATE GOVERNANCE SYSTEM
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Discounted Cash Flow Valuation for Small Cap M&A Integration*
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Corporate Portfolio Management: Theory and Practice
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THE EVA® FINANCIAL MANAGEMENT SYSTEM
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REAL OPTIONS: STATE OF THE PRACTICE
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TRENDS IN SECURITIZATION — PRIVATE AND PUBLIC
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Risks and Rewards in Emerging Market Investments
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INVESTOR RELATIONS, LIQUIDITY, AND STOCK PRICES
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Does Board Independence Matter in Companies with a Controlling Shareholder?
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Biomarker of Quality? Venture‐backed Biotech IPOs and Insider Participation
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WHAT'S IN THIS ISSUE–A MESSAGE FROM THE EDITOR
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THE PURCHASE VS. POOLING CONTROVERSY: HOW THE STOCK MARKET RESPONDS TO GOODWILL
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LBOs‐THE EVOLUTION OF FINANCIAL STRUCTURES AND STRATEGIES
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The Leveraging of Corporate America: A Long‐Run Perspective on Changes in Capital Structure
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Executive Summaries
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THE CONTINENTAL BANK MIDDLE MARKET ROUNDTABLE
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SECURITIES INNOVATIONS: A HISTORICAL AND FUNCTIONAL PERSPECTIVE
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CREATING VALUE WITH MERGERS AND ACQUISITIONS
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A REAL OPTIONS PERSPECTIVE ON SUPPLY CHAIN MANAGEMENT IN HIGH TECHNOLOGY1
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Executive Summaries
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The Role of Real Options in Capital Budgeting: Theory and Practice1
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Announcing the Stern Stewart Performance 1,000: A New Way of Viewing Corporate America
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INCORPORATING COUNTRY RISK IN THE VALUATION OF OFFSHORE PROJECTS
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VOLUNTARY DISCLOSURE PRACTICES: THE USE OF PRO FORMA REPORTING
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Issue Information ‐ TOC
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RETURNS ON PROJECT‐FINANCED INVESTMENTS: EVOLUTION AND MANAGERIAL IMPLICATIONS
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A Message from the Editor
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An Improved Method for Valuing Mature Companies and Estimating Terminal Value
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THE CAPITAL STRUCTURE PUZZLE: ANOTHER LOOK AT THE EVIDENCE
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STOCK INDEX FUTURES AND THE CRASH OF '87
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Prepacks as a mechanism for resolving financial distress: The evidence