Access Statistics for Sheridan Titman

Author contact details at EconPapers.

Working Paper File Downloads Abstract Views
Last month 3 months 12 months Total Last month 3 months 12 months Total
A Dynamic Model of Characteristic-Based Return Predictability 0 0 3 15 1 2 15 33
A Dynamic Model of Optimal Capital Structure 0 1 11 1,108 1 9 37 2,855
A dynamic model of optimal capital structure 0 0 0 0 1 3 19 620
Adverse Risk Incentives and the Design of Performance-Based Contracts 0 0 0 0 2 7 17 831
An International Comparison of Capital Structure and Debt Maturity Choices 1 2 7 152 2 3 17 394
Are Corporate Default Probabilities Consistent with the Static Tradeoff Theory? 0 0 0 84 2 7 15 280
Building the IPO Order Book: Underpricing and Participation Limits With Costly Information 0 1 2 554 0 1 11 1,629
Capital Investments and Stock Returns 1 3 11 827 5 11 47 2,095
Corporate Investment with Financial Constraints: Sensitivity of Investment to Funds from Voluntary Asset Sales 0 0 1 444 2 2 13 1,472
Debt and Corporate Performance: Evidence from Unsuccessful Takeovers 0 0 0 409 2 3 9 1,671
ESG Preference, Institutional Trading, and Stock Return Patterns 4 4 4 4 20 20 20 20
Equilibrium Exhaustible Resource Price Dynamics 0 0 0 150 0 2 7 439
Evidence on the Characteristics of Cross Sectional Variation in Stock Returns 0 0 3 994 3 7 26 2,643
Explaining the Cross-Section of Stock Returns in Japan: Factors or Characteristics? 0 0 0 404 0 0 9 1,560
Feedback and the Success of Irrational Investors 0 0 0 58 0 4 20 229
Financial Market Shocks and the Macroeconomy 0 0 0 33 0 0 4 100
Financial Structure, Liquidity, and Firm Locations 0 1 1 132 0 2 7 573
Firm Location and the Creation and Utilization of Human Capital 0 0 1 161 1 1 13 461
Firms' Histories and Their Capital Structures 0 2 5 476 2 6 21 1,268
Firms' Stakeholders and the Costs of Transparency 0 0 0 59 0 1 2 300
Individual Investor Trading and Return Patterns around Earnings Announcements 0 1 3 64 2 3 12 252
Market Efficiency in an Irrational World 0 0 0 1,201 2 2 12 2,501
Market Reactions to Tangible and Intangible Information 0 2 5 419 1 5 21 1,536
Mutual Fund Performance: An Analysis of Quarterly Portfolio Holdings 0 0 0 7 2 4 38 950
Portfolio Performance Evaluation: Old Issues and New Insights 0 0 0 1 2 6 21 1,390
Predicting Systematic Risk: Implications from Growth Options 0 0 0 53 0 0 4 185
Pricing Strategy and Financial Policy 0 0 0 624 1 1 6 3,001
Profitability of Momentum Strategies: An Evaluation of Alternative Explanations 0 1 10 1,747 6 15 38 4,443
Stakeholder, Transparency and Capital Structure 0 0 1 210 0 0 6 658
Stakeholders, Transparency and Capital Structure 0 0 1 102 0 0 4 405
The Debt-Equity Choice: An Empirical Analysis 2 8 21 1,772 6 21 61 4,115
The Dynamics of Housing Prices 0 0 1 46 0 0 12 73
The Geography of Financial Misconduct 0 0 8 120 1 4 34 270
The Modigliani and Miller Theorem and Market Efficiency 0 0 2 3,086 4 8 27 10,243
Urban Vibrancy and Corporate Growth 0 0 0 114 0 1 12 181
Why do firms hold so much cash? A tax-based explanation 0 1 4 193 0 7 23 985
Total Working Papers 8 27 105 15,823 71 168 660 50,661


Journal Article File Downloads Abstract Views
Last month 3 months 12 months Total Last month 3 months 12 months Total
A Dynamic Model of Optimal Capital Structure 2 6 28 161 5 20 73 431
A Study of Monthly Mutual Fund Returns and Performance Evaluation Techniques 1 9 27 328 14 37 108 799
Alternative Benchmarks for Evaluating Mutual Fund Performance 0 0 1 37 0 0 10 195
Approximate Factor Structures: Interpretations and Implications for Empirical Tests 0 0 0 24 0 0 3 74
Building the IPO order book: underpricing and participation limits with costly information 1 5 16 198 2 12 47 671
Capital Investments and Stock Returns 1 6 30 151 13 44 154 670
Capital Investments and Stock Returns in Japan* 0 0 1 36 0 0 6 100
Corporate Investment with Financial Constraints: Sensitivity of Investment to Funds from Voluntary Asset Sales 0 1 9 194 2 7 53 629
DESIGNING CAPITAL STRUCTURE TO CREATE SHAREHOLDER VALUE 0 1 8 338 3 8 26 861
Discussion of "Underreaction to Self-Selected News Events" 0 0 0 0 0 1 2 151
Do Real Estate Prices and Stock Prices Move Together? An International Analysis 2 2 3 426 3 7 17 1,151
Do the Best Hedge Funds Hedge? 0 1 7 134 0 4 25 346
Editorial 0 0 0 0 0 0 1 28
Equilibrium Exhaustible Resource Price Dynamics 0 0 0 93 0 1 11 388
Evidence on the Characteristics of Cross Sectional Variation in Stock Returns 6 9 53 748 23 44 195 2,237
Factor pricing in a finite economy 0 0 1 157 2 4 17 432
Feedback and the success of irrational investors 1 2 4 144 3 5 21 464
Financial Constraints, Competition, and Hedging in Industry Equilibrium 1 1 7 146 2 6 22 414
Financial Distress and Corporate Performance 4 15 48 983 14 41 145 2,295
Financial Policy and Reputation for Product Quality 1 4 16 219 4 12 42 662
Financial Structure, Acquisition Opportunities, and Firm Locations 0 0 1 68 1 1 19 296
Firms' Stakeholders and the Costs of Transparency 0 0 0 15 0 1 5 199
Firms' histories and their capital structures 1 9 46 603 5 25 137 1,573
Individual Investor Trading and Stock Returns 0 2 4 135 0 7 30 575
Individualism and Momentum around the World 0 2 17 240 3 11 79 926
Information quality and the valuation of new issues 3 7 36 1,286 9 35 124 3,219
Interest Rate Swaps and Corporate Financing Choices 0 0 2 390 0 1 9 955
Interest rate swaps and corporate financing choices 0 0 0 0 1 1 8 445
Intra-industry momentum: the case of REITs 0 4 10 121 1 5 25 301
Leverage and Corporate Performance: Evidence from Unsuccessful Takeovers 0 0 0 170 0 1 8 470
Market Reactions to Tangible and Intangible Information 0 2 4 269 3 8 31 924
Momentum Investment Strategies, Portfolio Performance, and Herding: A Study of Mutual Fund Behavior 5 23 85 1,670 23 77 267 4,975
Mutual Fund Performance: An Analysis of Quarterly Portfolio Holdings 4 11 46 1,330 9 33 136 3,953
Originator Performance, CMBS Structures, and the Risk of Commercial Mortgages 0 0 1 30 0 6 11 109
Overreaction, Delayed Reaction, and Contrarian Profits 0 0 6 321 0 4 19 730
Performance Measurement without Benchmarks: An Examination of Mutual Fund Returns 4 12 54 2,085 12 38 160 5,519
Pricing Strategy and Financial Policy 0 0 0 1 1 3 7 603
Returns to Buying Winners and Selling Losers: Implications for Stock Market Efficiency 19 76 363 4,405 78 251 987 10,225
Risk and the Performance of Real Estate Investment Trusts: A Multiple Index Approach 1 3 8 264 1 4 17 605
Security Analysis and Trading Patterns When Some Investors Receive Information before Others 1 6 19 301 6 16 54 880
Share Tendering Strategies and the Success of Hostile Takeover Bids 1 1 7 776 1 5 22 2,603
Short-Horizon Return Reversals and the Bid-Ask Spread 1 1 5 328 1 4 20 709
Single vs. Multiple Discount Rates: How to Limit “Influence Costs” in the Capital Allocation Process* 0 0 2 145 0 1 12 424
Stock Returns as Predictors of Interest Rates and Inflation 1 1 6 56 1 1 17 129
THE CAPITAL STRUCTURE CHOICE: NEW EVIDENCE FOR A DYNAMIC TRADEOFF MODEL 1 1 4 117 1 3 10 248
Tax-Motivated Trading and Price Pressure: An Analysis of Mutual Fund Holdings 0 0 0 13 1 3 8 90
The Cross Section of Expected REIT Returns 0 0 1 41 0 0 5 138
The Debt-Equity Choice 3 14 70 1,004 6 37 185 2,160
The Determinants of Leveraged Buyout Activity: Free Cash Flow vs. Financial Distress Costs 3 11 24 919 4 17 58 2,237
The Effect of Forward Markets on the Debt-Equity Mix of Investor Portfolios and the Optimal Capital Structure of Firms 0 0 0 9 1 1 2 46
The Effects of Anticipated Inflation on Housing Market Equilibrium 0 0 0 113 0 0 5 447
The Going‐Public Decision and the Development of Financial Markets 0 1 2 249 1 3 9 601
The Modigliani and Miller Theorem and the Integration of Financial Markets 0 0 0 0 5 9 39 574
The Persistence of Mutual Fund Performance 1 8 32 507 4 17 75 1,296
The Relation between Mean-Variance Efficiency and Arbitrage Pricing 0 0 5 127 1 3 18 382
The effect of capital structure on a firm's liquidation decision 4 9 46 2,263 14 42 167 4,476
The leverage of hedge funds 0 0 0 95 1 1 6 195
The postmerger share-price performance of acquiring firms 5 10 73 2,219 10 26 160 4,197
The valuation effects of stock splits and stock dividends 6 18 38 589 10 37 100 1,921
Understanding stock market volatility: The case of Korea and Taiwan 0 0 2 83 0 0 5 229
Urban Land Prices under Uncertainty 3 8 23 840 8 19 57 1,896
Why do firms hold so much cash? A tax-based explanation 4 10 44 363 11 33 127 1,134
Why real interest rates, cost of capital and price/earnings ratios vary across countries 0 0 0 29 1 3 9 204
Total Journal Articles 91 312 1,345 29,106 325 1,046 4,227 76,816


Chapter File Downloads Abstract Views
Last month 3 months 12 months Total Last month 3 months 12 months Total
Debt, Labor Markets, and the Creation and Destruction of Firms 0 0 0 2 0 0 1 14
Firms' Stakeholders and the Costs of Transparency 0 0 0 19 1 1 2 84
Total Chapters 0 0 0 21 1 1 3 98


Statistics updated 2021-01-03