Citation Impact

Citing Papers

Developments in repo markets during the financial turmoil
2008
Tightening credit standards: the role of accounting quality
2007
Rating model arbitrage in CDO markets: An empirical analysis
2009
COVID-19 and time-frequency connectedness between green and conventional financial markets
2021
CheckM: assessing the quality of microbial genomes recovered from isolates, single cells, and metagenomes
2015 Standout
Deciphering the Liquidity and Credit Crunch 2007–2008
2009 Standout
The Role of Auditor Choice in Debt Pricing in Private Firms*
2007
The Real Effects of Disrupted Credit: Evidence from the Global Financial Crisis
2018 StandoutNobel
Understanding earnings quality: A review of the proxies, their determinants and their consequences
2010 Standout
Energy investment risk assessment for nations along China’s Belt & Road Initiative
2017 Standout
The Fable of the Keiretsu
2002
A more complete conceptual framework for SME finance
2006 Standout
Are family firms more tax aggressive than non-family firms?
2009 Standout
Time-frequency connectedness among clean-energy stocks and fossil fuel markets: Comparison between financial, oil and pandemic crisis
2021 Standout
Do differences in institutional and legal environments explain cross-country variations in IPO underpricing?
2011
Truth-telling by Third-party Auditors and the Response of Polluting Firms: Experimental Evidence from India*
2013 StandoutNobel
A Survey of Corporate Governance
1997 Standout
Ratings quality over the business cycle
2012
Firms and social responsibility: A review of ESG and CSR research in corporate finance
2021 Standout
A Survey of Corporate Governance
1997 Standout
Illiquidity and All Its Friends
2011 StandoutNobel
Partial Adjustment to Public Information and IPO Underpricing
2002
Corporate Ownership Around the World
1999 Standout
The Global Diffusion of Public Policies: Social Construction, Coercion, Competition, or Learning?
2007 Standout
Founding‐Family Ownership and Firm Performance: Evidence from the S&P 500
2003 Standout
The Globalization of Liberalization: Policy Diffusion in the International Political Economy
2004 Standout
Does Culture Affect Economic Outcomes?
2006 Standout
Accountability and Abuses of Power in World Politics
2005 Standout
The Procyclical Role of Rating Agencies: Evidence from the East Asian Crisis
1999 StandoutNobel
A review of archival auditing research
2014 Standout
A Pyrrhic Victory? Bank Bailouts and Sovereign Credit Risk
2011
The European Sovereign Debt Crisis
2012 Standout
Capital flow waves: Surges, stops, flight, and retrenchment
2012
Investor Psychology and Asset Pricing
2001 Standout
Introduction: The International Diffusion of Liberalism
2006 Standout
Corporate green bonds
2021 Standout
Central Bank Dollar Swap Lines and Overseas Dollar Funding Costs
2010
Venture Capital and IPO Lockup Expiration: An Empirical Analysis
2000
Country risk forecasting for major oil exporting countries: A decomposition hybrid approach
2011
An inconvenient cost: The effects of climate change on municipal bonds
2019
Differential properties in the ratings of certified versus non-certified bond-rating agencies
2006
Understanding the Securitization of Subprime Mortgage Credit
2008
A stochastic dominance analysis of yen carry trades
2009
A guided data projection technique for classification of sovereign ratings: The case of European Union 27
2014
The relationship between credit default swap spreads, bond yields, and credit rating announcements
2004 Standout
Is Group Affiliation Profitable in Emerging Markets? An Analysis of Diversified Indian Business Groups
2000 Standout
Bank lending during the financial crisis of 2008
2009 Standout
The Importance of Climate Risks for Institutional Investors
2019 Standout
The effect of pro-environmental preferences on bond prices: Evidence from green bonds
2018 Standout
The Long-Run Performance of Global Equity Offerings
2000
Quality Disclosure and Certification: Theory and Practice
2010
Markets: The Credit Rating Agencies
2010 Standout
Founding family ownership and the agency cost of debt
2003
Law and Finance
1998 Standout
Trade-based Diffusion of Labor Rights: A Panel Study, 1986–2002
2009 Standout
The Dollar Shortage in Global Banking and the International Policy Response
2012
Can Companies Buy Credible Analyst Research?
2008
Modeling country risk ratings using partial orders
2005
Securitisation and Financial Stability
2009 Standout
Understanding the Soft Budget Constraint
2003 StandoutNobel
Market Liquidity and Funding Liquidity
2008 Standout
Securitized banking and the run on repo
2011 Standout
A Comparison of Bond Ratings from Moody's S&P and Fitch IBCA
1999
A Review of IPO Activity, Pricing, and Allocations
2002 Standout
Capital Constraints, Counterparty Risk, and Deviations from Covered Interest Rate Parity
2009
A new country risk index for emerging markets: A stochastic dominance approach
2012
JADE: Adaptive Differential Evolution With Optional External Archive
2009 Standout
Corporate governance in China: A modern perspective
2014 Standout
Global Capital and National Governments
2001 Standout
LIFE INSURANCE: REGULATION AS CONTRACT ENFORCEMENT1
2004
Evolutionary optimization of transition probability matrices for credit decision-making
2009
The value of private sector business credit information sharing: The US case
2003
Where's the greenium?
2020
Estimating the performance effects of business groups in emerging markets
2000 Standout
What Can (Macro-) Prudential Policy do to Support Monetary Policy?
2007
The impact of rating changes in Australian financial markets
2007
Relationship Banking: What Do We Know?
2000 Standout
VENTURE CAPITAL AND IPO LOCKUP EXPIRATION: AN EMPIRICAL ANALYSIS
2001
Event study concerning international bond price effects of credit rating actions
2001
Corporate governance and board effectiveness
1998 Standout
Dissecting green returns
2022 Standout
Can Market Discipline Work in the Case of Rating Agencies? Some Lessons from Moody’s Stock Price
2012
Selection Models in Accounting Research
2011 Standout
The financial reporting environment: Review of the recent literature
2010 Standout
Bank Relationships: A Review
1998
The governance structure of the Japanese financial keiretsu
1994
Competing for Capital: The Diffusion of Bilateral Investment Treaties, 1960–2000
2006 Standout
Taxator-tk: precise taxonomic assignment of metagenomes by fast approximation of evolutionary neighborhoods
2014

Works of Frank Packer being referenced

Determinants and Impact of Sovereign Credit Ratings
1996
Multiple Ratings and Credit Standards: Differences of Opinion in the Credit Rating Industry
1995
The spillover of money market turbulence to FX swap and cross-currency swap markets
2008
Assessing New Perspectives on Country Risk
2004
Green bond finance and certification
2017
Rating methodologies for banks
2011
How Consistent are Credit Ratings? A Geographic and Sectoral Analysis of Default Risk
2000
From Turmoil to Crisis: Dislocations in the FX Swap Market Before and After the Failure of Lehman Brothers
2009
Determinants and Impact of Sovereign Credit Ratings
1996
Differences of opinion and selection bias in the credit rating industry
1997
Sovereign risk assessment and agency credit ratings
1996
Interpreting deviations from covered interest parity during the financial market turmoil of 2007–08
2009
Split Ratings and the Pricing of Credit Risk
1997
Determinants and Impact of Sovereign Credit Ratings
1996
What role has the “Main Bank” played in Japan?
1988
The Credit Rating Industry
1995
How Consistent are Credit Ratings? A Geographic and Sectoral Analysis of Default Risk
2000
Institutional affiliation and the role of venture capital: Evidence from initial public offerings in Japan
2000
Institutional Affiliation and the Role of Venture Capital: Evidence from Initial Public Offerings in Japan
1998
The governance of failure: An anatomy of corporate bankruptcy in Japan
1992
Interpreting Deviations from Covered Interest Parity during the Financial Market Turmoil of 2007-08
2008
Rankless by CCL
2026