Dmitry Livdan
Title
Cited by
Cited by
Year
Optimal diversification: Reconciling theory and evidence
J Gomes, D Livdan
The Journal of Finance 59 (2), 507-535, 2004
802*2004
Do shareholder rights affect the cost of bank loans?
S Chava, D Livdan, A Purnanandam
The Review of Financial Studies 22 (8), 2973-3004, 2009
3562009
Anomalies
EXN Li, D Livdan, L Zhang
The Review of Financial Studies 22 (11), 4301-4334, 2009
3302009
Financially constrained stock returns
D Livdan, H Sapriza, L Zhang
The Journal of Finance 64 (4), 1827-1862, 2009
2772009
Are institutions informed about news?
T Hendershott, D Livdan, N Schürhoff
Journal of Financial Economics 117 (2), 249-287, 2015
1712015
Oil futures prices in a production economy with investment constraints
L Kogan, D Livdan, A Yaron
The Journal of Finance 64 (3), 1345-1375, 2009
1302009
Relationship Trading in Over‐the‐Counter Markets
T Hendershott, D Li, D Livdan, N Schürhoff
The Journal of Finance 75 (2), 683-734, 2020
892020
Debt, bargaining, and credibility in firm–supplier relationships
CA Hennessy, D Livdan
Journal of Financial Economics 93 (3), 382-399, 2009
892009
Repeated signaling and firm dynamics
CA Hennessy, D Livdan, B Miranda
The Review of Financial Studies 23 (5), 1981-2023, 2010
87*2010
Informed trading and portfolio returns
A Boulatov, T Hendershott, D Livdan
Review of Economic Studies 80 (1), 35-72, 2013
662013
Risking other people's money: Gambling, limited liability, and optimal incentives
PM DeMarzo, D Livdan, A Tchistyi
Limited Liability, and Optimal Incentives (September 12, 2013), 2013
322013
Asset pricing: A tale of night and day
T Hendershott, D Livdan, D Rösch
Journal of Financial Economics, 2020
202020
Risking other people's money: Gambling, limited liability, and optimal incentives
PM DeMarzo, D Livdan, A Tchistyi
Stanford University, Graduate School of Business Research Papers, 2014
162014
Aggregate investment and stock returns
F Duarte, L Kogan, D Livdan
Unpublished manuscript Sloan School of Management, MIT.[9], 2012
92012
Accounting rules, equity valuation, and growth options
D Livdan, A Nezlobin
Review of Accounting Studies 22 (3), 1122-1155, 2017
72017
Strategic trading with market closures
A Boulatov, D Livdan
Available at SSRN 870608, 2005
62005
Goal Congruence and Real Options: Good News About Models with Bad News
D Livdan, A Nezlobin
Available at SSRN 3055506, 2017
12017
Investment, Tobin's Q, and Vintage Capital: Theory and Evidence
D Livdan, A Nezlobin
Available at SSRN 3055461, 2017
12017
Explaining the Pattern in Returns for Diversified Firms
D Livdan
Available at SSRN 675305, 2005
12005
Learning, parameter drift, and the credibility revolution
CA Hennessy, D Livdan
Journal of Monetary Economics, 2020
2020
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Articles 1–20