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Details about John H. Thornton, Jr.

Homepage:http://business.kent.edu/fsd/view_faculty.asp?faculty_id=90&type=basic

Access statistics for papers by John H. Thornton, Jr..

Last updated 2024-10-09. Update your information in the RePEc Author Service.

Short-id: pth53


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Journal Articles

2022

  1. Liquidity and bank capital structure
    Journal of Financial Stability, 2022, 62, (C) Downloads View citations (3)

2017

  1. Why do banks choose to finance with equity?
    Journal of Financial Stability, 2017, 30, (C), 36-52 Downloads View citations (12)

2016

  1. Can statistics-based early warning systems detect problem banks before markets?
    The North American Journal of Economics and Finance, 2016, 37, (C), 190-216 Downloads View citations (6)
  2. Charter values, bailouts and moral hazard in banking
    Journal of Regulatory Economics, 2016, 49, (2), 172-202 Downloads View citations (3)
  3. Reactions of equity markets to recent financial reforms
    Journal of Economics and Business, 2016, 87, (C), 50-69 Downloads View citations (2)
  4. THE IMPACT OF REAL ESTATE LENDING ON THRIFTS' FRANCHISE VALUES DURING THE 2007–2009 CRISIS: A COMPARISON WITH COMMERCIAL BANKS
    Journal of Financial Research, 2016, 39, (1), 35-62 Downloads View citations (1)

2012

  1. Unintended regulatory consequences: Evidence from the Korean IPOs
    Pacific-Basin Finance Journal, 2012, 20, (2), 292-309 Downloads View citations (3)

2010

  1. An empirical method for assessing the research relevance gap
    European Journal of Operational Research, 2010, 201, (3), 942-948 Downloads View citations (1)
  2. NYSE listings and firm borrowing costs: An empirical investigation
    Global Finance Journal, 2010, 21, (1), 26-42 Downloads

2008

  1. The effect of managerial bonus plans on corporate derivatives usage
    Journal of Multinational Financial Management, 2008, 18, (3), 229-243 Downloads View citations (4)

2006

  1. The effect of agency costs on the value of single-segment and multi-segment firms
    Journal of Corporate Finance, 2006, 12, (4), 761-782 Downloads View citations (6)

2005

  1. An empirical comparison between operations of stabilization funds and stock repurchases in Korea
    Pacific-Basin Finance Journal, 2005, 13, (3), 319-341 Downloads View citations (4)
  2. Long-term stock performance after open-market repurchases in Korea
    Global Finance Journal, 2005, 16, (2), 191-209 Downloads View citations (8)

2003

  1. The Effect of Managerial Incentives to Bear Risk on Corporate Capital Structure and R&D Investment
    The Financial Review, 2003, 38, (1), 77-101 Downloads View citations (35)

2002

  1. The Volatility and Price Sensitivities of Managerial Stock Option Portfolios and Corporate Hedging
    Journal of Finance, 2002, 57, (2), 801-813 Downloads View citations (176)

1997

  1. Regulatory distortion of management compensation: The case of golden parachutes for bank managers
    Journal of Banking & Finance, 1997, 21, (6), 825-848 Downloads View citations (1)
 
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