DOI
10.1016/S0304-405X(03)00179-X
Publication Type
How Much Do Firms Hedge with Derivatives?" Guay, Wayne and S.P. Kothari. Journal of Financial Economics Vol. 70, No. 3 (2003): 423-461.
DOI
10.1016/S0165-4101(02)00091-5
Publication Type
Time-Series Coefficient Variation in Value-Relevance Regressions: A Discussion of Core, Guay, and Van Buskirk and New Evidence." Kothari, S.P. and Jay Shanken. Journal of Accounting & Economics Vol. 34, No. 1-3 (2003): 69-87.
DOI
10.1023/A:1020764227390
Publication Type
Capitalization versus Expensing: Evidence on the Uncertainty of Future Earnings from Capital Expenditures versus R&D Outlays." Kothari, S.P., Ted E. Laguerre and Andrew J. Leone. Review of Accounting Studies Vol. 7, No. 4 (2002): 355-382.
DOI
0.1016/S0165-4101(01)00030-1
Publication Type
Capital Markets Research in Accounting." Kothari, S.P. Journal of Accounting & Economics Vol. 31, No. 1-3 (2001): 105-231.
DOI
10.2307/2676199
Publication Type
Are Corporations Reducing or Taking Risks with Derivatives?" Hentschel, Ludger and S.P. Kothari. Journal of Financial and Quantitative Analysis Vol. 36, No. 1 (2001): 93-118.
DOI
10.1111/0022-1082.00397
Publication Type
Evaluating Mutual Fund Performance." Kothari, S.P. and Jerold B. Warner. Journal of Finance Vol. 56, No. 5 (2001): 1985-2010.
DOI
10.1111/j.1911-3846.2000.tb00909.x
Publication Type
Discussion of “The Relation Between Analysts' Forecasts of Long-Term Earnings Growth and Stock Price Performance Following Equity Officering." Kothari, S.P. Contemporary Accounting Research Vol. 17, No. 1 (2000): 33-39.
DOI
10.1016/S0165-4101(00)00012-4
Publication Type
The Effect of International Institutional Factors on Properties of Accounting Earnings." Ball, Ray, S.P. Kothari and Ashok Robin. Journal of Accounting & Economics Vol. 29, No. 1 (2000): 1-51.
DOI
10.1016/S0165-4101(98)00020-2
Publication Type
The Relation Between Earnings and Cash Flows." Dechow, Patricia M., S.P. Kothari and Ross L. Watts. Journal of Accounting & Economics Vol. 25, No. 2 (1998): 133-168.
DOI
10.1016/S0304-405X(97)00002-0
Publication Type
Book-to-Market, Dividend Yield, and Expected Market Returns: a Time-Series Analysis." Kothari, S.P. and Jay Shanken. Journal of Financial Economics Vol. 44, No. 2 (1997): 169-203.