Journal of Applied Corporate Finance
1989 - 2024
Current editor(s): Donald H. Chew Jr. From Morgan Stanley Bibliographic data for series maintained by Wiley Content Delivery (). Access Statistics for this journal.
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Volume 20, issue 4, 2008
- The Contributions of Stewart Myers to the Theory and Practice of Corporate Finance* pp. 8-19

- Franklin Allen, Sudipto Bhattacharya, Raghuram Rajan and Antoinette Schoar
- Risk Management Failures: What Are They and When Do They Happen? pp. 39-48

- René Stulz
- Brealey, Myers, and Allen on Valuation, Capital Structure, and Agency Issues* pp. 49-57

- Richard A. Brealey, Stewart C. Myers and Franklin Allen
- Brealey, Myers, and Allen on Real Options pp. 58-71

- Richard A. Brealey, Stewart C. Myers and Franklin Allen
- Equity Issues and the Disappearing Rights Offer Phenomenon pp. 72-85

- Bjorn Eckbo
- Can Companies Use Hedging Programs to Profit from the Market? Evidence from Gold Producers* pp. 86-97

- Tim R. Adam and Chitru S. Fernando
- Corporate Leverage and Specialized Investments by Customers and Suppliers pp. 98-104

- Jayant R. Kale and Husayn Shahrur
- Estimating Risk‐Adjusted Costs of Financial Distress pp. 105-109

- Heitor Almeida and Thomas Philippon
Volume 20, issue 3, 2008
- Private Equity, Corporate Governance, and the Reinvention of the Market for Corporate Control pp. 8-21

- Karen H. Wruck
- Corporate Cash Policy and How to Manage it with Stock Repurchases pp. 22-34

- Amy Dittmar
- The Rise of Accelerated Seasoned Equity Underwritings pp. 35-57

- Bernardo Bortolotti, William Megginson and Scott B. Smart
- Re‐equitizing Corporate Balance Sheets: Choosing Among the Alternatives pp. 58-67

- Jason Draho
- SPACs: An Alternative Wav to Access the Public Markets pp. 68-75

- Robert Berger
- Competition and Cooperation among Exchanges: Effects on Corporate Cross‐Listing Decisions and Listing Standards pp. 76-90

- Thomas Chemmanur, Jie He and Paolo Fulghieri
- Callable Bonds: Better Value Than Advertised? pp. 91-99

- Andrew Kalotay
- BIG Writing: The Fundamental Discipline of Business Writing pp. 100-106

- Michael Sheldon and Janice Willett
Volume 20, issue 2, 2008
- Liquidity, the Value of the Firm, and Corporate Finance pp. 32-45

- Yakov Amihud and Haim Mendelson
- Real Asset Valuation: A Back‐to‐basics Approach pp. 46-65

- David Laughton, Raul Guerrero and Donald Lessard
- Expected Inflation and the Constant‐Growth Valuation Model* pp. 66-78

- Michael Bradley and Gregg A. Jarrell
- Single vs. Multiple Discount Rates: How to Limit “Influence Costs” in the Capital Allocation Process* pp. 79-83

- John Martin and Sheridan Titman
- The Era of Cross‐Border M&A: How Current Market Dynamics are Changing the M&A Landscape pp. 84-96

- Marc Zenner, Matt Matthews, Jeff Marks and Nishant Mago
- Transfer Pricing for Corporate Treasury in the Multinational Enterprise pp. 97-112

- Stephen L. Curtis
- The Equity Market Risk Premium and the Valuation of Overseas Investments pp. 113-121

- Luc Soenen and Robert Johnson
- Stock Option Expensing: The Role of Corporate Governance pp. 122-128

- Sanjay Deshmukh, Keith M. Howe and Carl Luft
- Real Options Valuation: A Case Study of an E‐commerce Company pp. 129-143

- Rocío Sáenz‐Diez, Ricardo Gimeno and Carlos De Abajo
Volume 20, issue 1, 2008
- Brand India—Where Next? A Panel Discussion pp. 8-27

- Nandan Nilekani and Andrew Heyward
- U.S. Corporate Governance: Accomplishments and Failings A Discussion with Michael Jensen and Robert Monks pp. 28-46

- Ralph Walkling
- Changes in Korean Corporate Governance: A Response to Crisis pp. 47-58

- E. Han Kim and Woochan Kim
- Corporate Governance in India pp. 59-72

- Rajesh Chakrabarti, William Megginson and Pradeep K. Yadav
- Sovereign Wealth Funds: A Growing Global Force in Corporate Finance pp. 73-83

- Shams Butt, Anil Shivdasani, Carsten Stendevad and Ann Wyman
- What Public Company Directors Should Know About Going Private pp. 84-95

- Robert Kindler and James Gunderson
- The Corporate Social Responsibility (CSR) Trend pp. 96-108

- Barbara Lougee and James Wallace
- Leadership Structure and Corporate Governance in Switzerland* pp. 109-120

- Markus Schmid and Heinz Zimmermann
- Who Charges More: Hedge Funds or Mutual Funds?* pp. 121-123

- Mark Kritzman
- Morgan Stanley's Approach to Assessing Credit Risks in the Microfinance Industry pp. 124-134

- Miguel Arvelo, Ju‐Lie Bell, Christian Novak, Juliette Rose and Shally Venugopal
Volume 19, issue 4, 2007
- A Message from the Editor pp. 2-3

- Donald H. Chew
- Toward a New Corporate Reorganization Paradigm pp. 8-15

- Donald S. Bernstein
- Morgan Stanley Roundtable on Managing Financial Trouble pp. 16-43

- Edward Altman
- Private Equity: Boom and Bust? pp. 44-53

- Viral Acharya, Julian Franks and Henri Servaes
- Statement of the Financial Economists Roundtable on the International Competitiveness of U.S. Capital Markets pp. 54-59

- Franklin Edwards and Kenneth Scott
- What Companies Need to Know About International Cross‐Listing pp. 60-74

- Michael King and Usha R. Mittoo
- Ten Common Misconceptions About Enterprise Risk Management pp. 75-81

- John R. S. Fraser and Betty Simkins
- Choices and Best Practice in Corporate Risk Management Disclosure pp. 82-93

- Ekaterina E. Emm, Gerald D. Gay and Chen‐Miao Lin
- How Banks Price Loans to Public‐Private Partnerships: Evidence from the European Markets pp. 94-106

- Frederic Blanc‐Brude and Roger Strange
- Euro Membership as a Real Option Trigger: An Empirical Study of EU15 Manufacturing Firms pp. 107-114

- Tom Aabo and Christos Pantzalis
- Lessons from the Financial Crisis of 1907* pp. 115-124

- Robert F. Bruner and Sean D. Carr
Volume 19, issue 3, 2007
- Private Equity: Past, Present, and Future pp. 8-16

- Steve Kaplan
- Global Debt Markets in 2007: New Paradigm or the Great Credit Bubble? pp. 17-31

- Edward Altman
- The Return of the Recap: Achieving Private Equity Benefits as a Public Company pp. 32-41

- Anil Shivdasani and Adrián Zak
- Share Repurchases and the Need for External Finance pp. 42-55

- Matthew T. Billett and Hui Xue
- The New Wave of Hybrids—Rethinking the Optimal Capital Structure pp. 56-64

- Kevin Ryan, Jonathan Ross and Jacqueline Yen
- The Influence of Credit Ratings on Corporate Capital Structure Decisions pp. 65-73

- Darren J. Kisgen
- What is the Market Value of a Dollar of Corporate Cash? pp. 74-81

- Lee Pinkowitz and Rohan Williamson
- Mind the Information Gap: Putting New Selection Criteria and Deal Structures to Work in M&A pp. 82-89

- Roberto Ragozzino and Jeffrey J. Reuer
- Estimating the Cost of Risky Debt pp. 90-95

- Ian A. Cooper and Sergei A. Davydenko
- How Good are Private Equity Returns? pp. 96-108

- Robert M. Conroy and Robert S. Harris
- Big is Better: Growth and Market Structure in Global Buyouts pp. 109-116

- Peter Cornelius, Broes Langelaar and Maarten Van Rossum
- The Convergence of Public and Private Equity Markets: Cyclical or Structural? pp. 117-124

- Jason Draho
Volume 19, issue 2, 2007
- The Case for Real Options Made Simple pp. 38-49

- Raul Guerrero
- Valuing the Debt Tax Shield pp. 50-59

- Ian Cooper and Kjell Nyborg
- Measuring Free Cash Flows for Equity Valuation: Pitfalls and Possible Solutions pp. 60-71

- Juliet Estridge and Barbara Lougee
- Discount Rates in Emerging Markets: Four Models and An Application pp. 72-77

- Javier Estrada
- Rail Companies: Prospects for Privatization and Consolidation pp. 78-87

- James Runde
- A Real Option in a Jet Engine Maintenance Contract pp. 88-94

- Richard L. Shockley
- A Practical Method for Valuing Real Options: The Boeing Approach pp. 95-104

- Scott Mathews, Vinay Datar and Blake Johnson
- Accounting for Employee Stock Options and Other Contingent Equity Claims: Taking a Shareholder's View pp. 105-110

- James Ohlson and Stephen H. Penman
Volume 19, issue 1, 2007
- The Limits of Financial Globalization pp. 8-15

- René Stulz
- Explaining Differences in the Quality of Governance Among Companies: Evidence from Emerging Markets pp. 16-24

- Artyom Durnev and E. Han Kim
- The Revolution in Active Investing: Creating Wealth and Better and Better Governance pp. 25-41

- David Haarmeyer
- Investment of Banking: Past, Present, and Future pp. 42-54

- Alan D. Morrison and William J. Wilhelm
- The Evolution of Shareholder Activism in the United States* pp. 55-73

- Stuart L. Gillan and Laura T. Starks
- The State of U.S. Corporate Governance: An Interview with Chales Elson pp. 74-80

- Charles Elson
- Cash Holdings, Dividend Policy, and Corporate Governance: A Cross‐Country Analysis pp. 81-87

- Lee Pinkowitz, Rohan Williamson and René Stulz
- The ownership Structure, Governance, and Performance of French Companies pp. 88-101

- Péter Harbula
- For Better Corporate Governance, The Shareholder Value Review pp. 102-114

- Bartley J. Madden
- Microfinance—On the Road to Capital Markets pp. 115-124

- Ian Callaghan, Henry Gonzalez, Diane Maurice and Christian Novak
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