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List of works by René M. Stulz

A New Approach to Measuring Financial Contagion

An Analysis of Divisional Investment Policies

scientific article published in June 1996

Are Analyst Trade Ideas Valuable?

scientific article published in July 2019

Are Financial Assets Priced Locally or Globally?

scientific article published in June 2002

Are Firms in "Boring" Industries Worth Less?

scientific article published in January 2015

Are Larger Banks Valued More Highly?

scientific article published in March 2017

Asset Liquidity and Segment Divestitures

Asset Sales, Firm Performance, and the Agency Costs of Managerial Discretion

scientific article published in February 1994

Bank CEO Incentives and the Credit Crisis

scientific article published in August 2009

Bank sovereign bond holdings, sovereign shock spillovers, and moral hazard during the European crisis

Banks, the IMF, and the Asian Crisis

scientific article published in September 1999

Corporate Acquisitions, Diversification, and the Firm's Lifecycle

scientific article published in September 2011

Corporate Deleveraging

scientific article published in November 2016

Corporate Focusing and Internal Capital Markets

scientific article published in June 1999

Corporate Governance and the Home Bias

scholarly article published December 2001

Credit Default Swaps and the Credit Crisis

scientific article published in September 2009

Culture, Openness, and Finance

Daily Cross-Border Equity Flows: Pushed or Pulled?

scholarly article published June 2002

Did Capital Requirements and Fair Value Accounting Spark Fire Sales in Distressed Mortgage-Backed Securities?

scientific article published in August 2012

Differences in Governance Practices between U.S. and Foreign Firms: Measurement, Causes, and Consequences

scientific article published in August 2007

Dividend Policy, Agency Costs, and Earned Equity

scientific article published in July 2004

Do Acquirers With More Uncertain Growth Prospects Gain Less From Acquisitions?

scientific article published in September 2004

Do Distressed Banks Really Gamble for Resurrection?

scientific article published in May 2019

Do Domestic Investors Have More Valuable Information About Individual Stocks Than Foreign Investors?

Do Domestic Investors Have an Edge? The Trading Experience of Foreign Investors in Korea

scientific article published in May 2004

Do Firms Issue more equity when markets are more liquid?

scientific article published in July 2013

Do Firms in Countries with Poor Protection of Investor Rights Hold More Cash?

Do Foreign Investors Destabilize Stock Markets? The Korean Experience in 1997

scientific article published in July 1998

Do Local Analysts Know More? A Cross-Country Study of the Performance of Local Analysts and Foreign Analysts

scientific article published in October 2005

Do Target CEOs Sell Out Their Shareholders to Keep Their Job in a Merger?

Do U.S. Firms Have the Best Corporate Governance? A Cross-Country Examination of the Relation between Corporate Governance and Shareholder Wealth

scientific article published in January 2007

Do shareholders of acquiring firms gain from acquisitions?

Does Joining the S&P 500 Index Hurt Firms?

scientific article published in July 2020

Does the Stock Market Make Firms More Productive?

scientific article published in December 2017

Eclipse of the Public Corporation or Eclipse of the Public Markets?

scientific article published in January 2018

Equity market liberalizations as country IPOs

scientific article published in February 2003

FinTech, BigTech, and the Future of Banks

scientific article published in September 2019

Financial Globalization, Corporate Governance, and Eastern Europe

scientific article published in January 2006

Financial Globalization, Governance, and the Evolution of the Home Bias

scientific article published in July 2006

Financial Policies and the Financial Crisis: How Important Was the Systemic Credit Contraction for Industrial Corporations?

scientific article published in August 2010

Firm Value, Risk, and Growth Opportunities

scientific article published in July 2000

Foreign Equity Investment Restrictions and Shareholder Wealth Maximization

scientific article published in November 1992

Fundamentals, Market Timing, and Seasoned Equity Offerings

scientific article published in July 2007

Global Financial Markets and the Risk Premium on U.S. Equity

Globalization of Equity Markets and the Cost of Capital

scientific article published in March 1999

Globalization, Governance, and the Returns to Cross-Border Acquisitions

Governance, Risk Management, and Risk-Taking in Banks

scientific article published in July 2014

Has New York Become Less Competitive in Global Markets? Evaluating Foreign Listing Choices Over Time

scientific article published in May 2007

Have Exchange-Listed Firms Become Less Important for the Economy?

scientific article published in October 2020

Hedge Fund Contagion and Liquidity

scientific article published in June 2008

How Different is Japanese Corporate Finance? An Investigation of the Information Content of New Security Issues

scientific article published in October 1994

How Much Do Banks Use Credit Derivatives to Reduce Risk?

scientific article published in August 2005

How Valuable is Financial Flexibility when Revenue Stops? Evidence from the COVID-19 Crisis

scientific article published in May 2020

Information, Trading and Stock Returns: Lessons from Dually-Listed Securities

scientific article published in May 1994

International Competition and Exchange Rate Shocks: A Cross-Country Industry Analysis of Stock Returns

scientific article published in October 1997

International Portfolio Choice and Asset Pricing: An Integrative Survey

scientific article published in February 1994

Investment Opportunities, Managerial Decisions, and the Security Issue Decision

scientific article published in October 1994

Is Bank-Centered Corporate Governance Worth It? A Cross-Sectional Analysis of the Performance of Japanese Firms during the Asset Price Deflation

scientific article published in October 1997

Is Financial Globalization in Reverse After the 2008 Global Financial Crisis? Evidence from Corporate Valuations

scientific article published in April 2020

Is Post-Crisis Bond Liquidity Lower?

Is Sell-Side Research More Valuable in Bad Times?

scientific article published in January 2014

Is There Hedge Fund Contagion?

scientific article published in March 2006

Is the U.S. public corporation in trouble?

scientific article published in November 2016

Leverage, Investment, and Firm Growth

scientific article published in July 1995

Limited Managerial Attention and Corporate Aging

scientific article published in September 2013

Managerial Ownership Dynamics and Firm Value

scientific article published in June 2007

Multinationals and the High Cash Holdings Puzzle

scientific article published in June 2012

Private Benefits of Control, Ownership, and the Cross-Listing Decision

scientific article published in March 2005

Securities Laws, Bank Monitoring, and the Choice Between Cov-lite Loans and Bonds for Highly Levered

scientific article published in January 2019

Securities Laws, Disclosure, and National Capital Markets in the Age of Financial Globalization

scientific article published in August 2008

Should We Fear Derivatives?

scientific article published in June 2004

Stock Market Trading and Market Conditions

scientific article published in September 2004

The Determinants and Implications of Corporate Cash Holdings

scientific article published in October 1997

The Economics of Conflicts of Interest in Financial Institutions

scientific article published in November 2006

The Limits of Financial Globalization

scientific article published in January 2005

The Risks of Financial Institutions

scientific article published in June 2005

The U.S. Left Behind: The Rise of IPO Activity Around the World

scientific article published in March 2011

The U.S. listing gap

scientific article published in May 2015

The Underreaction Hypothesis and the New Issue Puzzle: Evidence from Japan

The dark side of outside directors: Do they quit when they are most needed?

scientific article published in April 2010

This Time Is the Same: Using Bank Performance in 1998 to Explain Bank Performance During the Recent Financial Crisis

scientific article published in May 2011

Tobin's Q, Corporate Diversification and Firm Performance

scientific article published in June 1993

U.S. Banks, Crises, and Bailouts: From Mexico to LTCM

scientific article published in February 2000

Wealth Destruction on a Massive Scale? A Study of Acquiring-Firm Returns in the Recent Merger Wave

article published in 2004

What is the Impact of Successful Cyberattacks on Target Firms?

scientific article published in March 2018

When are Analyst Recommendation Changes Influential?

scientific article published in May 2009

Who Benefits from Analyst “Top Picks”?

scientific article published in November 2020

Why Are Corporate Payouts So High in the 2000s?

scientific article published in April 2020

Why Did Some Banks Perform Better During the Credit Crisis? A Cross-Country Study of the Impact of Governance and Regulation

scientific article published in July 2009

Why Did U.S. Banks Invest in Highly-Rated Securitization Tranches?

scientific article published in August 2011

Why Do Banks Practice Regulatory Arbitrage? Evidence from Usage of Trust Preferred Securities

scientific article published in March 2014

Why Do Countries Matter So Much for Corporate Governance?

scientific article published in September 2004

Why Do Firms Become Widely Held? An Analysis of the ynamics of Corporate Ownership

scientific article published in August 2005

Why Do Foreign Firms Have Less Idiosyncratic Risk than U.S. Firms?

scientific article published in April 2009

Why Do Foreign Firms Leave U.S. Equity Markets?

scientific article published in August 2008

Why Do Private Acquirers Pay So Little Compared to Public Acquirers?

scientific article published in April 2007

Why Do U.S. Firms Hold So Much More Cash Than They Used To?

scientific article published in September 2006

Why Does Capital No Longer Flow More to the Industries with the Best Growth Opportunities?

scientific article published in December 2016

Why Does Fast Loan Growth Predict Poor Performance for Banks?

scientific article published in March 2016

Why Does Idiosyncratic Risk Increase with Market Risk?

scientific article published in August 2016

Why High Leverage is Optimal for Banks

scientific article published in June 2013

Why Is There a Home Bias? An Analysis of Foreign Portfolio Equity Ownership in Japan

scientific article published in July 1995

Why are Firms with More Managerial Ownership Worth Less?

scientific article published in December 2018

Why are Foreign Firms Listed in the U.S. Worth More?

scientific article published in October 2001

Why has Idiosyncratic Risk been Historically Low in Recent Years?

scientific article published in January 2018