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Viral Acharya
Viral Acharya
C V Starr Professor of Economics, Department of Finance, New York
Verified email at stern.nyu.edu - Homepage
Title
Cited by
Cited by
Year
Asset pricing with liquidity risk
VV Acharya, LH Pedersen
Journal of financial Economics 77 (2), 375-410, 2005
47882005
Measuring Systemic Risk
MR Viral V Acharya, Lasse Pedersen, Thomas Philippon
The Review of Financial Studies 30 (1), 2-47, 2016
3733*2016
Is cash negative debt? A hedging perspective on corporate financial policies
VV Acharya, H Almeida, M Campello
Journal of financial intermediation 16 (4), 515-554, 2007
16222007
A pyrrhic victory? Bank bailouts and sovereign credit risk
V Acharya, I Drechsler, P Schnabl
The Journal of Finance 69 (6), 2689-2739, 2014
16072014
A theory of systemic risk and design of prudential bank regulation
VV Acharya
Journal of financial stability 5 (3), 224-255, 2009
14912009
Capital shortfall: A new approach to ranking and regulating systemic risks
V Acharya, R Engle, M Richardson
American Economic Review 102 (3), 59-64, 2012
14732012
Securitization without risk transfer
VV Acharya, P Schnabl, G Suarez
Journal of Financial economics 107 (3), 515-536, 2013
14522013
Should banks be diversified? Evidence from individual bank loan portfolios
VV Acharya, I Hasan, A Saunders
The Journal of Business 79 (3), 1355-1412, 2006
1258*2006
Insider trading in credit derivatives
VV Acharya, TC Johnson
Journal of Financial Economics 84 (1), 110-141, 2007
11702007
Does industry-wide distress affect defaulted firms? Evidence from creditor recoveries
VV Acharya, ST Bharath, A Srinivasan
Journal of financial economics 85 (3), 787-821, 2007
1069*2007
Creditor rights and corporate risk-taking
VV Acharya, Y Amihud, L Litov
Journal of financial Economics 102 (1), 150-166, 2011
10032011
The “greatest” carry trade ever? Understanding eurozone bank risks
VV Acharya, S Steffen
Journal of Financial Economics 115 (2), 215-236, 2015
991*2015
Too many to fail—An analysis of time-inconsistency in bank closure policies
VV Acharya, T Yorulmazer
Journal of financial intermediation 16 (1), 1-31, 2007
9752007
The seeds of a crisis: A theory of bank liquidity and risk taking over the business cycle
V Acharya, H Naqvi
Journal of financial economics 106 (2), 349-366, 2012
9632012
Causes of the financial crisis
VV Acharya, M Richardson
Critical review 21 (2-3), 195-210, 2009
8972009
Whatever it takes: The real effects of unconventional monetary policy
VV Acharya, T Eisert, C Eufinger, C Hirsch
The Review of Financial Studies 32 (9), 3366-3411, 2019
8412019
Restoring financial stability: how to repair a failed system
VV Acharya, MP Richardson
John Wiley & Sons, 2009
8312009
Corporate governance and value creation: Evidence from private equity
VV Acharya, OF Gottschalg, M Hahn, C Kehoe
The Review of Financial Studies 26 (2), 368-402, 2013
8152013
A crisis of banks as liquidity providers
VV Acharya, N Mora
The journal of Finance 70 (1), 1-43, 2015
806*2015
Rollover risk and market freezes
VV Acharya, D Gale, T Yorulmazer
The Journal of Finance 66 (4), 1177-1209, 2011
7462011
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