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Amiyatosh Purnanandam
Amiyatosh Purnanandam
Ross School of Business, University of Michigan
Verified email at umich.edu - Homepage
Title
Cited by
Cited by
Year
Are IPOs really underpriced?
AK Purnanandam, B Swaminathan
Review of Financial Studies 17 (3), 811-848, 2004
8712004
The effect of banking crisis on bank-dependent borrowers
S Chava, A Purnanandam
Journal of financial economics 99 (1), 116-135, 2011
8362011
Originate-to-distribute model and the subprime mortgage crisis
A Purnanandam
The review of financial studies 24 (6), 1881-1915, 2011
7532011
CEOs versus CFOs: Incentives and corporate policies
S Chava, A Purnanandam
Journal of financial Economics 97 (2), 263-278, 2010
5692010
Financial distress and corporate risk management: Theory and evidence
A Purnanandam
Journal of Financial Economics 87 (3), 706-739, 2008
4812008
Is default risk negatively related to stock returns?
S Chava, A Purnanandam
The Review of Financial Studies 23 (6), 2523-2559, 2010
4792010
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
4192009
Interest rate derivatives at commercial banks: An empirical investigation
A Purnanandam
Journal of Monetary Economics 54 (6), 1769-1808, 2007
257*2007
Seasoned equity offerings, corporate governance, and investments
EH Kim, A Purnanandam
Review of Finance 18 (3), 1023-1057, 2013
165*2013
The strategic underreporting of bank risk
TA Begley, A Purnanandam, K Zheng
The Review of Financial Studies 30 (10), 3376-3415, 2017
1332017
Market pricing of deposit insurance
D Duffie, R Jarrow, A Purnanandam, W Yang
Journal of Financial Services Research 24 (2), 93-119, 2003
922003
Design of financial securities: Empirical evidence from private-label RMBS deals
TA Begley, A Purnanandam
The Review of Financial Studies 30 (1), 120-161, 2017
862017
Risk-taking by banks: What did we know and when did we know it?
S Bhattacharyya, A Purnanandam
AFA 2012 Chicago Meetings Paper, 2011
842011
Determinants of the floating-to-fixed rate debt structure of firms
S Chava, A Purnanandam
Journal of Financial Economics 85 (3), 755-786, 2007
812007
Banks’ risk dynamics and distance to default
S Nagel, A Purnanandam
The Review of Financial Studies 33 (6), 2421-2467, 2020
742020
Corporate hedging, investment and value
JM Berrospide, A Purnanandam, U Rajan
Ann Arbor 1001, 48109, 2008
622008
Color and credit: Race, regulation, and the quality of financial services
TA Begley, A Purnanandam
Journal of Financial Economics 141 (1), 48-65, 2021
602021
Judging banks' risk by the profits they report
BS Meiselman, S Nagel, A Purnanandam
Available at SSRN 3169730, 2020
402020
Do short sellers trade on private information or false information?
A Purnanandam, HN Seyhun
Journal of Financial and Quantitative Analysis 53 (3), 997-1023, 2018
40*2018
A system-wide approach to measure connectivity in the financial sector
S Basu, S Das, G Michailidis, A Purnanandam
Available at SSRN 2816137, 2019
372019
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