Publication List

DOI
10.1257/aer.99.2.454
Publication Type
Financial Risk Management: Why Did Independence Fail?" Landier, Augustin, David Sraer and David Thesmar. American Economic Review Vol. 99, No. 2 (2009): 454-458.
DOI
10.1111/j.1467-937X.2009.00544.x
Publication Type
Optimal Dissent in Organizations." Landier, Augustin, David Sraer and David Thesmar. Review of Economic Studies Vol. 76, No. 2 (2009): 761-794.
DOI
10.1093/rfs/hhn065
Publication Type
Financial Contracting with Optimistic Entrepreneurs: Theory and Evidence." Landier, Augustin and David Thesmar. Review of Financial Studies Vol. 22, No. 1 (2009): 117-150.
DOI
10.1002/9781444306835.ch2
Publication Type
Investigating Capitalism-Aversion." Landier, Augustin, David Thesmar and Mathias Thoenig. Economic Policy Vol. 55, (2008): 1-2.
DOI
10.1162/JEEA.2007.5.4.709
Publication Type
Performance and Behavior of Family Firms: Evidence From the French Stock Market." Sraer, David and David Thesmar. Journal of the European Economic Association Vol. 5, No. 4 (2007): 709-751.
DOI
10.1111/j.1540-6261.2007.01218.x
Publication Type
Banking Deregulation and Industry Structure: Evidence from the 1985 French Banking Act." Bertrand, Marianne, Antoinette Schoar and David Thesmar. The Journal of Finance Vol. 62, No. 2 (2007): 597-628.
DOI
10.1162/003355300555051
Publication Type
Creative Destruction and Organization Change." Thesmar, David and Mathias Thoenig. The Quarterly Journal of Economics Vol. 115, No. 4 (2000): 1201-1237.
DOI
10.1561/1400000022
Publication Type
Alphanomics: The Informational Underpinnings of Market Efficiency." Lee, Charles C., and Eric C. So. Foundation and Trends in Accounting Vol. 9, No. 2-3 (2015): 59-258.
DOI
10.2308/accr-50758
Publication Type
Non-Diversifiable Volatility Risk and Risk Premiums at Earnings Announcements." Barth, Mary and Eric C. So. Accounting Review Vol. 89, No. 5 (2014): 1579-1607.
DOI
10.1016/j.jfineco.2014.06.009
Publication Type
News-Driven Return Reversals: Liquidity Provision Ahead of Earnings Announcements." So, Eric and S. Wang. Journal of Financial Economics Vol. 114, No. 1 (2014): 20-35.