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jerold b. warner
jerold b. warner
Gowen Professor of Finance, Simon School, University of Rochester
Verified email at simon.rochester.edu
Title
Cited by
Cited by
Year
Using daily stock returns: The case of event studies
SJ Brown, JB Warner
Journal of financial economics 14 (1), 3-31, 1985
108861985
Measuring security price performance
SJ Brown, JB Warner
Journal of financial economics 8 (3), 205-258, 1980
59921980
On financial contracting: An analysis of bond covenants
CW Smith Jr, JB Warner
Journal of financial economics 7 (2), 117-161, 1979
49851979
Bankruptcy costs: Some evidence
JB Warner
The journal of Finance 32 (2), 337-347, 1977
27831977
Stock prices and top management changes
JB Warner, RL Watts, KH Wruck
Journal of financial Economics 20, 461-492, 1988
24761988
Econometrics of event studies
SP Kothari, JB Warner
Handbook of empirical corporate finance, 3-36, 2007
23152007
Measuring long-horizon security price performance
SP Kothari, JB Warner
Journal of financial economics 43 (3), 301-339, 1997
16941997
On corporate governance: A study of proxy contests
P Dodd, JB Warner
Journal of financial Economics 11 (1-4), 401-438, 1983
15631983
Stealth trading and volatility: Which trades move prices?
MJ Barclay, JB Warner
Journal of financial Economics 34 (3), 281-305, 1993
13651993
The distribution of power among corporate managers, shareholders, and directors
MC Jensen, JB Warner
Journal of Financial Economics 20, 3-24, 1988
7631988
Stock returns, aggregate earnings surprises, and behavioral finance
SP Kothari, J Lewellen, JB Warner
Journal of Financial Economics 79 (3), 537-568, 2006
5872006
Aggregate price effects of institutional trading: a study of mutual fund flow and market returns
RM Edelen, JB Warner
Journal of financial Economics 59 (2), 195-220, 2001
5542001
Evaluating mutual fund performance
SP Kothari, JB Warner
The Journal of Finance 56 (5), 1985-2010, 2001
5362001
Private information, trading volume, and stock-return variances
MJ Barclay, RH Litzenberger, JB Warner
The Review of Financial Studies 3 (2), 233-253, 1990
5111990
Bankruptcy, absolute priority, and the pricing of risky debt claims
JB Warner
Journal of financial economics 4 (3), 239-276, 1977
4701977
Bankruptcy, secured debt, and optimal capital structure: Comment
CW Smith, JB Warner
The Journal of Finance 34 (1), 247-251, 1979
2941979
The behavior of aggregate corporate investment
SP Kothari, J Lewellen, JB Warner
Simon Business School Working Paper No. FR 14-18, Tuck School of Business …, 2014
1062014
Private versus public debt: Evidence from firms that replace bank loans with junk bonds
SC Gilson, JB Warner
Available at SSRN 140093, 1998
981998
Why do mutual fund advisory contracts change? Performance, growth, and spillover effects
JB Warner, JS Wu
The Journal of Finance 66 (1), 271-306, 2011
942011
Security issue timing: What do managers know, and when do they know it?
D Jenter, K Lewellen, JB Warner
The Journal of Finance 66 (2), 413-443, 2011
852011
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