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Details about Josef Zechner

Homepage:https://www.wu.ac.at/finance/people/faculty/zechner/
Workplace:Centre for Economic Policy Research (CEPR), (more information at EDIRC)
WU Wirtschaftsuniversität Wien (WU Vienna University of Economics and Business), (more information at EDIRC)

Access statistics for papers by Josef Zechner.

Last updated 2023-04-11. Update your information in the RePEc Author Service.

Short-id: pze41


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Working Papers

2022

  1. COVID-19 and Corporate Finance
    CSEF Working Papers, Centre for Studies in Economics and Finance (CSEF), University of Naples, Italy Downloads View citations (5)
    See also Journal Article COVID-19 and Corporate Finance, The Review of Corporate Finance Studies, Society for Financial Studies (2022) Downloads View citations (5) (2022)
  2. Stock-Oil Comovement: Fundamentals or Financialization?
    Working Paper Series, Ohio State University, Charles A. Dice Center for Research in Financial Economics Downloads

2021

  1. Disaster Resilience and Asset Prices
    EIEF Working Papers Series, Einaudi Institute for Economics and Finance (EIEF) Downloads View citations (29)
    Also in CEPR Discussion Papers, C.E.P.R. Discussion Papers (2020) Downloads View citations (85)
    CSEF Working Papers, Centre for Studies in Economics and Finance (CSEF), University of Naples, Italy (2020) Downloads View citations (87)
    Papers, arXiv.org (2020) Downloads View citations (87)
    CFS Working Paper Series, Center for Financial Studies (CFS) (2021) Downloads View citations (10)

2020

  1. The Covid-19 Pandemic and Corporate Dividend Policy
    CEPR Discussion Papers, C.E.P.R. Discussion Papers Downloads View citations (7)
    See also Journal Article The COVID-19 Pandemic and Corporate Dividend Policy, Journal of Financial and Quantitative Analysis, Cambridge University Press (2021) Downloads View citations (10) (2021)
  2. The Dynamics of Corporate Debt Structure
    CEPR Discussion Papers, C.E.P.R. Discussion Papers Downloads View citations (3)
  3. The Maturity Premium
    CEPR Discussion Papers, C.E.P.R. Discussion Papers Downloads View citations (1)
    See also Journal Article The maturity premium, Journal of Financial Economics, Elsevier (2022) Downloads View citations (3) (2022)

2019

  1. Can ETFs contribute to systemic risk?
    Report of the Advisory Scientific Committee, European Systemic Risk Board Downloads View citations (13)
  2. Low Risk Anomalies?
    Swiss Finance Institute Research Paper Series, Swiss Finance Institute Downloads View citations (1)
    Also in CFS Working Paper Series, Center for Financial Studies (CFS) (2016) Downloads View citations (9)

    See also Journal Article Low‐Risk Anomalies?, Journal of Finance, American Finance Association (2020) Downloads View citations (12) (2020)

2017

  1. Corporate Debt Maturity Profiles
    CEPR Discussion Papers, C.E.P.R. Discussion Papers Downloads View citations (10)
    See also Journal Article Corporate debt maturity profiles, Journal of Financial Economics, Elsevier (2018) Downloads View citations (39) (2018)
  2. Sovereign Bond Risk Premiums
    Working Papers, Oesterreichische Nationalbank (Austrian Central Bank) Downloads View citations (1)
    Also in CFS Working Paper Series, Center for Financial Studies (CFS) (2013) Downloads View citations (2)

2016

  1. Debt maturity and the dynamics of leverage
    CFS Working Paper Series, Center for Financial Studies (CFS) Downloads View citations (9)
    See also Journal Article Debt Maturity and the Dynamics of Leverage, The Review of Financial Studies, Society for Financial Studies (2021) Downloads View citations (15) (2021)
  2. Financial media, price discovery, and merger arbitrage
    CFS Working Paper Series, Center for Financial Studies (CFS) Downloads View citations (4)
  3. Managerial rents vs. shareholder value in delegated portfolio management: The case of closed-end funds
    CFS Working Paper Series, Center for Financial Studies (CFS) Downloads View citations (15)
    See also Journal Article Managerial Rents vs. Shareholder Value in Delegated Portfolio Management: The Case of Closed-End Funds, The Review of Financial Studies, Society for Financial Studies (2016) Downloads View citations (15) (2016)
  4. Risk control in asset management: Motives and concepts
    CFS Working Paper Series, Center for Financial Studies (CFS) Downloads
  5. Sovereign reputation and yield spreads: A case study on retroactive legislation
    CFS Working Paper Series, Center for Financial Studies (CFS) Downloads View citations (7)
    See also Journal Article Sovereign Reputation and Yield Spreads: A Case Study on Retroactive Legislation, German Economic Review, Verein für Socialpolitik (2018) Downloads (2018)
  6. The stability of dividends and wages: Effects of competitor inflexibility
    CFS Working Paper Series, Center for Financial Studies (CFS) Downloads View citations (6)

2013

  1. Granularity of corporate debt
    CFS Working Paper Series, Center for Financial Studies (CFS) Downloads View citations (9)
    See also Journal Article Granularity of Corporate Debt, Journal of Financial and Quantitative Analysis, Cambridge University Press (2021) Downloads View citations (2) (2021)
  2. Market implied costs of bankruptcy
    CFS Working Paper Series, Center for Financial Studies (CFS) Downloads View citations (4)

2012

  1. Governance and shareholder value in delegated portfolio management: The case of closed-end funds
    CFR Working Papers, University of Cologne, Centre for Financial Research (CFR) Downloads

2007

  1. Human Capital, Bankruptcy and Capital Structure
    NBER Working Papers, National Bureau of Economic Research, Inc Downloads View citations (6)
    See also Journal Article Human Capital, Bankruptcy, and Capital Structure, Journal of Finance, American Finance Association (2010) Downloads View citations (183) (2010)

2006

  1. Portfolio performance, discount dynamics, and the turnover of closed-end fund managers
    CFR Working Papers, University of Cologne, Centre for Financial Research (CFR) Downloads View citations (1)
  2. Where is the Market? Evidence from Cross-Listings in the U.S
    CSEF Working Papers, Centre for Studies in Economics and Finance (CSEF), University of Naples, Italy Downloads View citations (5)

2005

  1. Large shareholder activism, risk sharing, and financial market equilibrium
    Public Economics, University Library of Munich, Germany Downloads
    See also Journal Article Large Shareholder Activism, Risk Sharing, and Financial Market Equilibrium, Journal of Political Economy, University of Chicago Press (1994) Downloads View citations (280) (1994)
  2. Where is the Market? Evidence from Cross-Listings
    CEPR Discussion Papers, C.E.P.R. Discussion Papers Downloads View citations (20)

2004

  1. Optimal Capital Allocation Using RAROC(tm) and EVA
    CEPR Discussion Papers, C.E.P.R. Discussion Papers Downloads View citations (3)
    Also in CEPR Discussion Papers, C.E.P.R. Discussion Papers (1999) Downloads View citations (17)

    See also Journal Article Optimal capital allocation using RAROC(TM) and EVA(R), Journal of Financial Intermediation, Elsevier (2007) Downloads View citations (36) (2007)

2003

  1. Credit Risk and Dynamic Capital Structure Choice
    CEPR Discussion Papers, C.E.P.R. Discussion Papers Downloads View citations (1)
    See also Journal Article Credit risk and dynamic capital structure choice, Journal of Financial Intermediation, Elsevier (2004) Downloads View citations (21) (2004)

2001

  1. The Geography of Equity Listing: Why Do Companies List Abroad?
    CEPR Discussion Papers, C.E.P.R. Discussion Papers Downloads View citations (43)
    Also in CSEF Working Papers, Centre for Studies in Economics and Finance (CSEF), University of Naples, Italy (2001) Downloads View citations (7)

    See also Journal Article The Geography of Equity Listing: Why Do Companies List Abroad?, Journal of Finance, American Finance Association (2002) Downloads View citations (342) (2002)
  2. What Makes Stock Exchanges Succeed? Evidence from Cross-Listing Decisions
    CEPR Discussion Papers, C.E.P.R. Discussion Papers Downloads View citations (82)
    Also in CSEF Working Papers, Centre for Studies in Economics and Finance (CSEF), University of Naples, Italy (2000) Downloads View citations (26)

    See also Journal Article What makes stock exchanges succeed? Evidence from cross-listing decisions, European Economic Review, Elsevier (2001) Downloads View citations (81) (2001)

2000

  1. Bank Capital Regulation With Random Audits
    FMG Discussion Papers, Financial Markets Group Downloads View citations (3)
    Also in CEPR Discussion Papers, C.E.P.R. Discussion Papers (2000) Downloads View citations (3)

    See also Journal Article Bank capital regulation with random audits, Journal of Economic Dynamics and Control, Elsevier (2002) Downloads View citations (50) (2002)

Journal Articles

2022

  1. COVID-19 and Corporate Finance
    (The risk of being a fallen angel and the corporate dash for cash in the midst of COVID)
    The Review of Corporate Finance Studies, 2022, 11, (4), 849-879 Downloads View citations (5)
    See also Working Paper COVID-19 and Corporate Finance, CSEF Working Papers (2022) Downloads View citations (5) (2022)
  2. The maturity premium
    Journal of Financial Economics, 2022, 144, (2), 670-694 Downloads View citations (3)
    See also Working Paper The Maturity Premium, CEPR Discussion Papers (2020) Downloads View citations (1) (2020)

2021

  1. Debt Maturity and the Dynamics of Leverage
    (Rollover risk and market freezes)
    The Review of Financial Studies, 2021, 34, (12), 5796-5840 Downloads View citations (15)
    See also Working Paper Debt maturity and the dynamics of leverage, CFS Working Paper Series (2016) Downloads View citations (9) (2016)
  2. Granularity of Corporate Debt
    Journal of Financial and Quantitative Analysis, 2021, 56, (4), 1127-1162 Downloads View citations (2)
    See also Working Paper Granularity of corporate debt, CFS Working Paper Series (2013) Downloads View citations (9) (2013)
  3. The COVID-19 Pandemic and Corporate Dividend Policy
    Journal of Financial and Quantitative Analysis, 2021, 56, (7), 2389-2410 Downloads View citations (10)
    See also Working Paper The Covid-19 Pandemic and Corporate Dividend Policy, CEPR Discussion Papers (2020) Downloads View citations (7) (2020)

2020

  1. How Did COVID-19 Affect Firms’ Access to Public Capital Markets?*
    The Review of Corporate Finance Studies, 2020, 9, (3), 501-533 Downloads View citations (26)
  2. Low‐Risk Anomalies?
    Journal of Finance, 2020, 75, (5), 2673-2718 Downloads View citations (12)
    See also Working Paper Low Risk Anomalies?, Swiss Finance Institute Research Paper Series (2019) Downloads View citations (1) (2019)

2018

  1. Corporate debt maturity profiles
    Journal of Financial Economics, 2018, 130, (3), 484-502 Downloads View citations (39)
    See also Working Paper Corporate Debt Maturity Profiles, CEPR Discussion Papers (2017) Downloads View citations (10) (2017)
  2. Sovereign Reputation and Yield Spreads: A Case Study on Retroactive Legislation
    German Economic Review, 2018, 19, (3), 260-279 Downloads
    Also in German Economic Review, 2018, 19, (3), 260-279 (2018) Downloads

    See also Working Paper Sovereign reputation and yield spreads: A case study on retroactive legislation, CFS Working Paper Series (2016) Downloads View citations (7) (2016)

2017

  1. Obituary for Engelbert Dockner
    Management Review Quarterly, 2017, 67, (3), 137-139 Downloads

2016

  1. Leverage dynamics over the business cycle
    Journal of Financial Economics, 2016, 122, (1), 21-41 Downloads View citations (67)
  2. Managerial Rents vs. Shareholder Value in Delegated Portfolio Management: The Case of Closed-End Funds
    The Review of Financial Studies, 2016, 29, (12), 3428-3470 Downloads View citations (15)
    See also Working Paper Managerial rents vs. shareholder value in delegated portfolio management: The case of closed-end funds, CFS Working Paper Series (2016) Downloads View citations (15) (2016)

2014

  1. Ownership and control in Central and Eastern Europe
    Journal of Corporate Finance, 2014, 26, (C), 145-163 Downloads View citations (17)
  2. The Cross-Section of Credit Risk Premia and Equity Returns
    Journal of Finance, 2014, 69, (6), 2419-2469 Downloads View citations (65)

2011

  1. 2011 Review of Finance - Spängler IQAM Best Paper Prize
    Review of Finance, 2011, 15, (4), iv-iv Downloads
  2. A Theory of Debt Market Illiquidity and Leverage Cyclicality
    The Review of Financial Studies, 2011, 24, (10), 3369-3400 Downloads View citations (7)
  3. Editorial Statistics
    Review of Finance, 2011, 15, (4), iii-iii Downloads
  4. Editorial Statistics
    Review of Finance, 2011, 15, (1), iii-iii Downloads
  5. Intermediated Investment Management
    Journal of Finance, 2011, 66, (3), 947-980 View citations (52)
  6. Special issue on household finance
    Review of Finance, 2011, 15, (4), v-vii Downloads View citations (3)

2010

  1. Deutsche Bank Prize in Financial Economics 2010 Review of Finance Best Paper Award
    Review of Finance, 2010, 14, (4), v-v Downloads
  2. Editorial Statistics
    Review of Finance, 2010, 14, (2), iii-iii Downloads
  3. Editorial Statistics
    Review of Finance, 2010, 14, (4), iii-iii Downloads
  4. Editorial Statistics
    Review of Finance, 2010, 14, (3), iii-iii Downloads
  5. Editorial Statistics
    Review of Finance, 2010, 14, (1), iii-iii Downloads
  6. Human Capital, Bankruptcy, and Capital Structure
    Journal of Finance, 2010, 65, (3), 891-926 Downloads View citations (183)
    See also Working Paper Human Capital, Bankruptcy and Capital Structure, NBER Working Papers (2007) Downloads View citations (6) (2007)

2009

  1. Change of guard among coeditors
    Review of Finance, 2009, 13, (3), iii-iii Downloads
  2. Editorial Statistics
    Review of Finance, 2009, 13, (1), iii-iii Downloads
  3. Editorial Statistics
    Review of Finance, 2009, 13, (4), iii-iii Downloads
  4. Editorial Statistics
    Review of Finance, 2009, 13, (2), iii-iii Downloads
  5. Editorial Statistics
    Review of Finance, 2009, 13, (3), v-v Downloads
  6. Winners of the Best Paper Competition in Corporate Governance
    Review of Finance, 2009, 13, (4), v-v Downloads

2008

  1. Börsennotierungen: Warum und wo? Evidenz aus Theorie und Empirie
    Schmalenbach Journal of Business Research, 2008, 60, (2), 195-210 Downloads View citations (1)
  2. Editorial Statistics
    Review of Finance, 2008, 12, (2), iii-iii Downloads
  3. Editorial Statistics
    Review of Finance, 2008, 12, (3), iii-iii Downloads
  4. Editorial Statistics
    Review of Finance, 2008, 12, (1), iii-iii Downloads
  5. Market Discipline and Internal Governance in the Mutual Fund Industry
    The Review of Financial Studies, 2008, 21, (5), 2307-2343 Downloads View citations (31)
  6. Special issue on corporate governance
    Review of Finance, 2008, 12, (1), v-vii Downloads View citations (2)
  7. Where Is the Market? Evidence from Cross-Listings in the United States
    The Review of Financial Studies, 2008, 21, (2), 725-761 Downloads View citations (30)

2007

  1. Editorial Statistics
    Review of Finance, 2007, 11, (4), iii-iii Downloads
  2. Editorial Statistics
    Review of Finance, 2007, 11, (3), iii-iii Downloads
  3. Optimal capital allocation using RAROC(TM) and EVA(R)
    Journal of Financial Intermediation, 2007, 16, (3), 312-342 Downloads View citations (36)
    See also Working Paper Optimal Capital Allocation Using RAROC(tm) and EVA, CEPR Discussion Papers (2004) Downloads View citations (3) (2004)

2006

  1. Zum Ableben von o. Univ.-Prof. Dkfm. Dr. Peter Swoboda
    Schmalenbach Journal of Business Research, 2006, 58, (4), 528-529 Downloads

2005

  1. Capital Market-Oriented Financing Prospects for Austrian SMEs
    Financial Stability Report, 2005, (10), 83-94 Downloads View citations (2)
  2. Editorial Announcement
    Review of Finance, 2005, 9, (2), iii-iii Downloads
  3. Editorial Statistics
    Review of Finance, 2005, 9, (2), v-v Downloads

2004

  1. Credit risk and dynamic capital structure choice
    Journal of Financial Intermediation, 2004, 13, (2), 183-204 Downloads View citations (21)
    See also Working Paper Credit Risk and Dynamic Capital Structure Choice, CEPR Discussion Papers (2003) Downloads View citations (1) (2003)
  2. Discussion
    German Economic Review, 2004, 5, (2), 139-141 Downloads
    Also in German Economic Review, 2004, 5, (2), 139-141 (2004) Downloads

2002

  1. Bank capital regulation with random audits
    Journal of Economic Dynamics and Control, 2002, 26, (7-8), 1301-1321 Downloads View citations (50)
    See also Working Paper Bank Capital Regulation With Random Audits, FMG Discussion Papers (2000) Downloads View citations (3) (2000)
  2. The Geography of Equity Listing: Why Do Companies List Abroad?
    Journal of Finance, 2002, 57, (6), 2651-2694 Downloads View citations (342)
    See also Working Paper The Geography of Equity Listing: Why Do Companies List Abroad?, CEPR Discussion Papers (2001) Downloads View citations (43) (2001)

2001

  1. IPOs and Product Quality
    The Journal of Business, 2001, 74, (3), 375-408 Downloads View citations (60)
  2. The Effect of Green Investment on Corporate Behavior
    Journal of Financial and Quantitative Analysis, 2001, 36, (4), 431-449 Downloads View citations (347)
  3. What makes stock exchanges succeed? Evidence from cross-listing decisions
    European Economic Review, 2001, 45, (4-6), 770-782 Downloads View citations (81)
    See also Working Paper What Makes Stock Exchanges Succeed? Evidence from Cross-Listing Decisions, CEPR Discussion Papers (2001) Downloads View citations (82) (2001)

1999

  1. Capital Structure, Information Acquisition and Investment Decisions in an Industry Framework
    Review of Finance, 1999, 2, (3), 251-271 Downloads View citations (7)

1998

  1. IPO-mechanisms, monitoring and ownership structure
    Journal of Financial Economics, 1998, 49, (1), 45-77 Downloads View citations (111)

1997

  1. Comment on ‘Monitoring, Implicit Contracting, and the Lack of Permanence of Leveraged Buyouts’
    Review of Finance, 1997, 1, (2), 165-168 Downloads

1996

  1. Financial market-product market interactions in industry equilibrium: Implications for information acquisition decisions
    European Economic Review, 1996, 40, (3-5), 883-896 Downloads View citations (1)

1994

  1. Large Shareholder Activism, Risk Sharing, and Financial Market Equilibrium
    Journal of Political Economy, 1994, 102, (6), 1097-1130 Downloads View citations (280)
    See also Working Paper Large shareholder activism, risk sharing, and financial market equilibrium, Public Economics (2005) Downloads (2005)

1993

  1. Financial Distress and Optimal Capital Structure Adjustments
    Journal of Economics & Management Strategy, 1993, 2, (4), 531-565 Downloads View citations (5)
    Also in Journal of Economics & Management Strategy, 1993, 2, (4), 531-65 (1993) View citations (6)
  2. Influence Costs and Capital Structure
    Journal of Finance, 1993, 48, (3), 975-1008 Downloads View citations (18)

1991

  1. Debt, Agency Costs, and Industry Equilibrium
    Journal of Finance, 1991, 46, (5), 1619-43 Downloads View citations (39)

1990

  1. Tax Clienteles and Optimal Capital Structure under Uncertainty
    The Journal of Business, 1990, 63, (4), 465-91 Downloads View citations (6)
  2. The Role of Debt and Perferred Stock as a Solution to Adverse Investment Incentives
    Journal of Financial and Quantitative Analysis, 1990, 25, (1), 1-24 Downloads View citations (29)

1989

  1. Dynamic Recapitalization Policies and the Role of Call Premia and Issue Discounts
    Journal of Financial and Quantitative Analysis, 1989, 24, (4), 427-446 Downloads View citations (19)
  2. Market Valuation of Bank Assets and Deposit Insurance in Canada
    Canadian Journal of Economics, 1989, 22, (1), 109-27 Downloads View citations (34)

1984

  1. Debt, taxes, and international equilibrium
    Journal of International Money and Finance, 1984, 3, (3), 343-355 Downloads View citations (8)

Undated

  1. Editorial Statistics
    Review of Finance, 15, (2), iii-iii Downloads
  2. Editorial Statistics
    Review of Finance, 15, (3), iii-iii Downloads

Editor

  1. Review of Finance
    European Finance Association
  2. Review of Finance
    Springer
 
Page updated 2024-07-12