publications

Publications


Below is a list of recent publications from our academics, including journal articles, book chapters, books, working papers, and conference papers.

Asset Volatility

Correia, M., J. Kang, and S. Richardson (2018), Asset Volatility, Review of Accounting Studies, 23 (1), 37-94.

The Real-time Information Content of Macroeconomic News: Implications for Firm-level Earnings Expectations

Carabias Palmeiro, J.M. (2018), The Real-time Information Content of Macroeconomic News: Implications for Firm-level Earnings Expectations, Review of Accounting Studies, 21 (1), 136-166.

Performance Effects of Setting a High Reference Point for Peer-Performance Comparison

Eyring, H., and V.G. Narayanan (2018), Performance Effects of Setting a High Reference Point for Peer-Performance Comparison, Journal of Accounting Research, 56 (2), in press. 

Market Exit Through Divestment: The Effect of Accounting Bias on Competition

Chen, H., and B. Jorgensen (2018), Market Exit Through Divestment: The Effect of Accounting Bias on Competition, Management Science, 64 (1), 164-177.

The Role of Social Capital in Corporations: A Review

Servaes, H, and A. Tamayo (2017),The Role of Social Capital in Corporations: A Review,  Oxford Review of Economic Policy, 33 (2), 201-220.

Social Capital, Trust and Firm Performance: The Value of Corporate Social Responsibility during the Financial Crisis

Lins, K., H. Servaes, and A. Tamayo (2017), Social Capital, Trust and Firm Performance: The Value of Corporate Social Responsibility during the Financial Crisis, Journal of Finance, 72(4), 1785-1824.

The Stock Market Reaction to Losing or Gaining Foreign Private Issuer Status

Burnett, B.M., B. Jorgensen, and T.J. Pollard (2017), The Stock Market Reaction to Losing or Gaining Foreign Private Issuer Status, Journal of Accounting and Public Policy, 36(2), 101-118.

Navigating Institutional Complexity: The Production of Risk Culture in the Financial Sector 

Palermo, T., Power, M., Ashby, S. (2017), Navigating Institutional Complexity: The Production of Risk Culture in the Financial Sector. Journal of Management Studies, 54 (2), 154–181.

The Dynamics of (Dis)integrated Risk Management: A Comparative Field Study

Arena, M., Arnaboldi, M., Palermo, T. (2017), The Dynamics of (Dis)integrated Risk Management: A Comparative Field Study, Accounting, Organizations and Society, 62, 65-81.