Details about Roberto Mura
Access statistics for papers by Roberto Mura.
Last updated 2023-03-16. Update your information in the RePEc Author Service.
Short-id: pmu138
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Working Papers
2019
- Owners' Portfolio Diversification and Firm Investment: Theory and Evidence from Private and Public Firms
Swiss Finance Institute Research Paper Series, Swiss Finance Institute View citations (2)
2014
- Financial flexibility across the euro area and the UK
Working Paper Series, European Central Bank View citations (18)
2010
- Large Shareholder Diversification And Corporate Risk- Taking
Purdue University Economics Working Papers, Purdue University, Department of Economics View citations (31)
See also Journal Article Large Shareholder Diversification and Corporate Risk-Taking, The Review of Financial Studies, Society for Financial Studies (2011) View citations (268) (2011)
2005
- How to Measure the Unobservable: A Panel Technique for the Analysis of TFP Convergence
Working Papers, Fondazione Eni Enrico Mattei View citations (1)
Also in Working Paper CRENoS, Centre for North South Economic Research, University of Cagliari and Sassari, Sardinia (2004) View citations (20)
See also Journal Article How to measure the unobservable: a panel technique for the analysis of TFP convergence, Oxford Economic Papers, Oxford University Press (2008) View citations (53) (2008)
2003
- A panel technique for the analysis of technology convergence: The case of the Italian regions
ERSA conference papers, European Regional Science Association View citations (5)
Journal Articles
2019
- Owners’ Portfolio Diversification and Firm Investment
The Review of Financial Studies, 2019, 32, (12), 4855-4904 View citations (1)
2017
- Financial Flexibility and Investment Ability Across the Euro Area and the UK
European Financial Management, 2017, 23, (1), 87-126 View citations (28)
2016
- CEO gender, corporate risk-taking, and the efficiency of capital allocation
Journal of Corporate Finance, 2016, 39, (C), 193-209 View citations (467)
- Rating friends: The effect of personal connections on credit ratings
Journal of Corporate Finance, 2016, 39, (C), 222-241 View citations (17)
2015
- Corporate acquisitions and financial constraints
International Review of Financial Analysis, 2015, 40, (C), 107-121 View citations (19)
- Shareholder diversification and bank risk-taking
Journal of Financial Intermediation, 2015, 24, (4), 602-635 View citations (26)
2011
- Large Shareholder Diversification and Corporate Risk-Taking
The Review of Financial Studies, 2011, 24, (11), 3601-3641 View citations (268)
See also Working Paper Large Shareholder Diversification And Corporate Risk- Taking, Purdue University Economics Working Papers (2010) View citations (31) (2010)
2010
- Financial Flexibility, Investment Ability, and Firm Value: Evidence from Firms with Spare Debt Capacity
Financial Management, 2010, 39, (4), 1339-1365 View citations (73)
2008
- How to measure the unobservable: a panel technique for the analysis of TFP convergence
Oxford Economic Papers, 2008, 60, (2), 343-368 View citations (53)
See also Working Paper How to Measure the Unobservable: A Panel Technique for the Analysis of TFP Convergence, Working Papers (2005) View citations (1) (2005)
2007
- Firm Performance: Do Non‐Executive Directors Have Minds of their Own? Evidence from UK Panel Data
Financial Management, 2007, 36, (3), 81-112 View citations (49)
2005
- Direct and Ultimate Ownership Structures in the UK: an intertemporal perspective over the last decade
Corporate Governance: An International Review, 2005, 13, (1), 26-45 View citations (6)
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