Viral V. Acharya
43 published titles
- Centre for Economic Policy Research
- 2007
- Details
More insiders, more insider trading : evidence from private equity buyouts
1 edition
- Centre for Economic Policy Research
- 2007
- Details
Liquidity risk and correlation risk : a clinical study of the General Motors and Ford downgrade of May 2005
1 edition
- Centre for Economic Policy Research
- 2007
- Details
Corporate governance externalities
1 edition
- Centre for Economic Policy Research
- 2008
- Details
Moral hazard, collateral and liquidity
1 edition
- Centre for Economic Policy Research
- 2008
- Details
Creditor rights and corporate risk-taking
1 edition
- Centre for Economic Policy Research
- 2008
- Details
Cash holdings and credit risk
1 edition
- Centre for Economic Policy Research
- 2009
- Details
Rollover risk and market freezes
1 edition
- Centre for Economic Policy Research
- 2009
- Details
Corporate governance and value creation : evidence from private equity
1 edition
- Centre for Economic Policy Research
- 2009
- Details
Restoring financial stability : how to repair a failed system
(Contributor)
1 edition
- ISBN: 9780470499344
- Wiley
- 2009
- Details
Private equity vs. PLC boards : a comparison of practices and effectiveness - summary of research findings
1 edition
- Centre for Economic Policy Research
- 2009
- Details
A theory of slow-moving capital and contagion
1 edition
- Centre for Economic Policy Research
- 2009
- Details
A theory of systemic risk and design of prudential bank regulation
1 edition
- Centre for Economic Policy Research
- 2009
- Details
The internal governance of firms
1 edition
- Centre for Economic Policy Research
- 2009
- Details
Labor laws and innovation
1 edition
- Centre for Economic Policy Research
- 2009
- Details
Limits to arbitrage and hedging : evidence from commodity markets
1 edition
- Centre for Economic Policy Research
- 2009
- Details
Regulating Wall Street : the Dodd-Frank Act and the new architecture of global finance
(Contributor)
1 edition
- ISBN: 9780470949863
- Wiley
- 2011
- Details
Guaranteed to fail : Fannie Mae, Freddie Mac and the debacle of mortgage financing
(Contributor)
1 edition
- ISBN: 9780691150789
- Princeton University Press
- 2011
- Details
Sovereign debt, government myopia, and the financial sector
1 edition
- Centre for Economic Policy Research
- 2011
- Details
A model of liquidity hoarding and term premia in inter-bank markets
1 edition
- Centre for Economic Policy Research
- 2011
- Details
Securitization without risk transfer
1 edition
- Centre for Economic Policy Research
- 2012
- Details
Precautionary hoarding of liquidity and inter-bank markets : evidence from the sub-prime crisis
1 edition
- Centre for Economic Policy Research
- 2012
- Details
The seeds of crisis : a theory of bank liquidity and risk-taking over the business cycle
1 edition
- Centre for Economic Policy Research
- 2012
- Details
Aggregate risk and the choice between cash and lines of credit
1 edition
- Centre for Economic Policy Research
- 2012
- Details
Seeking alpha : excess risk taking and competition for managerial talent
1 edition
- Centre for Economic Policy Research
- 2012
- Details
Dividends and bank capital in the financial crisis of 2007-2009
1 edition
- Centre for Economic Policy Research
- 2012
- Details
Competition for managers, corporate governance and incentive compensation
1 edition
- Centre for Economic Policy Research
- 2012
- Details
A proposal for the resolution of systemically important assets and liabilities : the case of the repo market
1 edition
- Centre for Economic Policy Research
- 2012
- Details
The "greatest" carry trade ever? : understanding Eurozone bank risks
1 edition
- Centre for Economic Policy Research
- 2013
- Details
Bank capital and dividend externalities
2 editions
- Centre for Economic Policy Research
- 2013
- Details
- Centre for Economic Policy Research
- 2014
- Details
Unintended consequences of LOLR facilities : the case of illiquid leverage
1 edition
- Centre for Economic Policy Research
- 2013
- Details
The social value of the financial sector : too big to fail or just too big?
(Contributor)
1 edition
- ISBN: 9789814520287
- World Scientific Pub. Co. Pte. Ltd.
- 2014
- Details
Testing macroprudential stress tests : the risk of regulatory risk weights
2 editions
- Centre for Economic Policy Research
- 2014
- Details
- Centre for Economic Policy Research
- Details
Financial dependence and innovation : the case of public versus private firms
1 edition
- Centre for Economic Policy Research
- 2014
- Details
Real effects of the sovereign debt crisis in Europe - evidence from syndicated loans : financial economics
1 edition
- Centre for Economic Policy Research
- 2014
- Details
Are banks passive liquidity backstops? : deposit rates and flows during the 2007-2009 crisis
1 edition
- Centre for Economic Policy Research
- Details
Endogenous information flows and the clustering of announcements
1 edition
- Centre for Economic Policy Research
- Details
A Pyrrhic victory? : bank bailouts and sovereign credit risk
1 edition
- Centre for Economic Policy Research
- Details
A theory of income smoothing when insiders know more than outsiders
1 edition
- Centre for Economic Policy Research
- Details
Robust capital regulation
1 edition
- Centre for Economic Policy Research
- Details
Measuring systemic risk
1 edition
- Centre for Economic Policy Research
- Details
Caught between Scylla and Charybdis? : regulating bank leverage when there is rent-seeking and risk-shifting
1 edition
- Centre for Economic Policy Research
- Details
How do global banks scramble for liquidity? evidence from the asset-backed commercial paper freeze of 2007
1 edition
- Centre for Economic Policy Research
- Details