Acharya, Viral V.
Acharya, Viral V., 1974-
Acharya, V
Viral Acharya economista indiu
VIAF ID: 8314377 ( Personal )
Permalink: http://viaf.org/viaf/8314377
Preferred Forms
- 200 _ | ‡a Acharya ‡b Viral V.
- 100 1 _ ‡a Acharya, V
- 100 1 _ ‡a Acharya, Viral V
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- 100 1 _ ‡a Acharya, Viral V.
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- 100 1 _ ‡a Acharya, Viral V.
- 100 1 _ ‡a Acharya, Viral V.
- 100 1 _ ‡a Acharya, Viral V. ‡d 1974-
- 100 1 _ ‡a Acharya, Viral V. ‡d 1974-
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- 100 0 _ ‡a Viral Acharya ‡c economista indiu
4xx's: Alternate Name Forms (14)
5xx's: Related Names (7)
- 510 2 _ ‡a Centre for Economic Policy Research ‡4 affi ‡4 https://d-nb.info/standards/elementset/gnd#affiliation ‡e Affiliation
- 510 2 _ ‡a City University London ‡4 affi ‡4 https://d-nb.info/standards/elementset/gnd#affiliation ‡e Affiliation
- 510 2 _ ‡a European Corporate Governance Institute ‡4 affi ‡4 https://d-nb.info/standards/elementset/gnd#affiliation ‡e Affiliation
- 510 2 _ ‡a Leonard N. Stern School of Business ‡4 affi ‡4 https://d-nb.info/standards/elementset/gnd#affiliation ‡e Affiliation
- 510 2 _ ‡a London Business School ‡4 affi ‡4 https://d-nb.info/standards/elementset/gnd#affiliation ‡e Affiliation
- 510 2 _ ‡a National Bureau of Economic Research ‡4 affi ‡4 https://d-nb.info/standards/elementset/gnd#affiliation ‡e Affiliation
- 510 2 _ ‡a Reserve Bank of India ‡4 affi ‡4 https://d-nb.info/standards/elementset/gnd#affiliation ‡e Affiliation
Works
Title | Sources |
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Aggregate risk and the choice between cash and lines of credit | |
Are Banks Passive Liquidity Backstops? : Deposit Rates and Flows during the 2007-2009 Crisis | |
Asset pricing with liquidity risk | |
Bank capital and dividend externalities | |
Bank use of sovereign CDS in the eurozone crisis hedging and risk incentives | |
Banking union for Europe : risks and challenges | |
Banks, systemic risk, and design of prudential regulation | |
Callable defaultable bonds : valuation, hedging, and optimal exercise boundaries | |
Capital markets union in Europe : why other unions must lead the way | |
Cash holdings and credit risk | |
Cash-in-the-market pricing and optimal bank bailout policy | |
Caught between Scylla and Charybdis? : regulating bank leverage when there is rent-seeking and risk-shifting | |
Competition for managers, corporate governance and incentive compensation | |
Contract renegotiation and the optimality of resetting executive stock options | |
Corporate bond valuation and hedging with stochastic interest rates and endogenous bankruptcy | |
Corporate governance and value creation: evidence from private equity | |
Costly financing, optimal payout policies and the valuation of corporate debt | |
Counterparty risk externality centralized versus over-the-counter markets | |
Credit Lines as Monitored Liquidity Insurance : Theory and Evidence | |
Creditor rights and corporate risk-taking | |
Cross-country variations in capital structures: the role of bankruptcy codes | |
Do Global Banks Spread Global Imbalances? The Case of Asset-Backed Commercial Paper During the Financial Crisis of 2007-09 | |
Does the lack of financial stability impair the transmission of monetary policy? | |
The effects of focus and diversification on bank risk and return: evidence from individual bank loan portfolios | |
Endogenous Information Flows and the Clustering of Announcements | |
Entrepreneurial incentives in stock market economies | |
Finance and efficiency: do bank branching regulations matter? | |
Financial dependence and innovation : the case of public versus private firms | |
Fire sales, foreign entry and bank liquidity | |
The 'Greatest' Carry Trade Ever? Understanding Eurozone Bank Risks | |
Guaranteed to fail Fannie Mae, Freddie Mac, and the debacle of mortgage finance | |
Imperfect competition in the inter-bank market for liquidity as a rationale for central banking | |
Information contagion and inter-bank correlation in a theory of systemic risk | |
Insider trading in credit derivatives | |
The internal governance of firms | |
Is cash negative debt? : a hedging perspective on corporate financial policies | |
Is the international convergence of capital adequacy desirable?, 2002: | |
Kin'yu kisei no gurando dezain : Tsugi no kiki no mae ni manabubeki koto. | |
Labor laws and innovation | |
Lender of last resort versus buyer of last resort - the impact of the European Central Bank actions on the bank-sovereign nexus | |
Leverage, moral hazard and liquidity | |
Limits to arbitrage and hedging : evidence from commodity markets | |
Liquidity risk and correlation risk : a clinical study of the General Motors and Ford downgrade of May 2005 | |
Liquidity risk of corporate bond returns | |
Measuring systemic risk | |
nr2002014217 | |
Optimal financial market integration and security design | |
Precautionary hoarding of liquidity and inter-bank markets : evidence from the sub-prime crisis | |
Private equity vs. PLC boards: a comparison of practices and effectiveness - summary of research findings | |
Progress and confusion : the state of macroeconomic policy | |
A proposal for the resolution of systemically important assets and liabilities : The case of the repo market | |
A Pyrrhic Victory? : Bank Bailouts and Sovereign Credit Risk | |
Regulating Wall Street : the Dodd-Frank Act and the new architecture of global finance | |
Restoring financial stability how to repair a failed system | |
Robust capital regulation | |
Rollover risk and market freezes | |
Securitization Without Risk Transfer | |
The seeds of a crisis : a theory of bank liquidity and risk-taking over the business cycle | |
Seeking Alpha : Excess Risk Taking and Competition for Managerial Talent | |
The social value of the financial sector : too big to fail or just too big? | |
Sovereign debt, government myopia, and the financial sector | |
Symposium : Reshaping Capital Markets & Institutions : Twenty Years On | |
Testing Macroprudential Stress Tests : The Risk of Regulatory Risk Weights | |
A theory of income smoothing when insiders know more than outsiders | |
A theory of slow-moving capital and contagion | |
Three essays on FinTech. | |
Too many to fail: an analysis of time inconsistency in bank closure policies | |
A Transparency Standard for Derivatives | |
Trois essais sur des technologies financières (Fintech) | |
Understanding the recovery rates on defaulted securities | |
Unintended consequences of LOLR facilities : the case of illiquid leverage | |
Whatever it takes: the real effects of unconventional monetary policy | |
When does strategic debt service matter? | |
미국발 글로벌 금융위기의 진단과 처방 실패한 시스템의 복구 | |
金融規制のグランドデザイン : 次の「危機」の前に学ぶべきこと |