JEL Classification G35 "Payout Policy: Corporate Finance and Governance"These are all the papers that have a JEL assignment (not all authors have given JEL codes to their papers) and that include the G35 classification. (sorted by date) Usage and Exposures at Default of Corporate Credit Lines: An empirical study by Janet Yinqing Zhao of Moody's Analytics, Douglas Dwyer of Moody's Analytics, and Jing Zhang of Moody's Analytics (285K PDF) -- 19 pages -- December 2011 Empirical Estimation of Default and Asset Correlation of Large Corporates and Banks in India by Arindam Bandyopadhyay of National Institute of Bank Management (NIBM), Pune, India, and Sonali Ganguly of National Institute of Bank Management (NIBM), Pune, India (415K PDF) -- 27 pages -- August 2011 Unintended Consequences of the Market Risk Requirement in Banking Regulation by Jussi Keppo of the University of Michigan, Leonard Kofman of the Bank of Montreal, and Xu Meng of the University of Michigan (276K PDF) -- 47 pages -- May 2010 Optimal Bank Capital with Costly Recapitalization by Samu Peura of Sampo plc, and Jussi Keppo of the University of Michigan (497K PDF) -- 39 pages -- July 2006
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