Zero Leverage and the Value in Waiting to Have Debt B Lotfaliei Journal of Banking and Finance 97, 335-349, 2018 | 92* | 2018 |
Asset Variance Risk Premium and Capital Structure B Lotfaliei Journal of Financial and Quantitative Analysis 56 (2), 647 - 691, 2021 | 15* | 2021 |
Essays on Corporate Risk and Capital Structure B Lotfaliei McGill University Library, 2014 | 14* | 2014 |
To expand and to abandon: Real options under asset variance risk premium H Alibeiki, B Lotfaliei European Journal of Operational Research 300 (2), 771-787, 2022 | 9 | 2022 |
Variance Risk Premium and Investment Uncertainty BL Jan Ericsson Western Finance Association, 2018 | 3* | 2018 |
Non-Market Factors and CAPM: The Market Index Effect MF Ferguson, B Lotfaliei, TE Trombley | 1* | 2017 |
Leashed Capital Structure of Closed-End Funds B Lotfaliei, M Mohebshahedin Available at SSRN 3970865, 2021 | | 2021 |
Reevaluating the Trade-off Theory of Capital Structure: Evidence from Zero-Leverage Firms B Lotfaliei, C Lundberg Available at SSRN 3478159, 2019 | | 2019 |