NATIONAL BUREAU OF ECONOMIC RESEARCH
NATIONAL BUREAU OF ECONOMIC RESEARCH

NBER Working Papers by John Graham

Contact and additional information for this authorAll NBER papers and publicationsNBER Working Papers only

Working Papers

February 2014A Century of Capital Structure: The Leveraging of Corporate America
with Mark T. Leary, Michael R. Roberts: w19910

Forthcoming: A Century of Capital Structure: The Leveraging of Corporate America, John R. Graham, Mark T. Leary, Michael R. Roberts. in Understanding the Capital Structures of Non-Financial and Financial Corporations, Acharya, Almeida, and Baker. 2014

September 2011Corporate Governance, Debt, and Investment Policy during the Great Depression
with Sonali Hazarika, Krishnamoorthy Narasimhan: w17387

Published: Graham, John R., Sonali Hazarika, and Krishnamoorthy Narasimhan, 2011, Corporate Governance, Debt, and Investment Policy during the Great Depression, Management Science 57, 2083-2100.

Financial Distress in the Great Depression
with Sonali Hazarika, Krishnamoorthy Narasimhan: w17388

Published: Graham, John R., Sonali Hazarika, and Krishnamoorthy Narasimhan, 2011, Financial Distress in the Great Depression, Financial Management 40, 821-844. -- Lead article

August 2011Managerial Attributes and Executive Compensation
with Si Li, Jiaping Qiu: w17368

Published: Graham, John R., Si Li, and Jiaping Qiu, 2011, Managerial Attributes and Executive Compensation, Review of Financial Studies 24, 1944-1979.

Capital Allocation and Delegation of Decision-Making Authority within Firms
with Campbell R. Harvey, Manju Puri: w17370
August 2010Liquidity Management and Corporate Investment During a Financial Crisis
with Murillo Campello, Erasmo Giambona, Campbell R. Harvey: w16309

Published: Murillo Campello & Erasmo Giambona & John R. Graham & Campbell R. Harvey, 2011. "Liquidity Management and Corporate Investment During a Financial Crisis," Review of Financial Studies, Society for Financial Studies, vol. 24(6), pages 1944-1979. citation courtesy of

July 2010Managerial Miscalibration
with Itzhak Ben-David, Campbell R. Harvey: w16215

Published: Itzhak Ben-David & John R. Graham, 2013. "Managerial Miscalibration," The Quarterly Journal of Economics, Oxford University Press, vol. 128(4), pages 1547-1584. citation courtesy of

May 2010The Cost of Debt
with Jules H. van Binsbergen, Jie Yang: w16023

van Binsbergen, Jules H., John R. Graham, and Jie Yang, “The Cost of Debt,” Journal of Finance, forthcoming December 2010. citation courtesy of

April 2010A Corporate Beauty Contest
with Campbell R. Harvey, Manju Puri: w15906
January 2010Research in Accounting for Income Taxes
with Jana Raedy, Douglas Shackelford: w15665

Published: Graham, John R. & Raedy, Jana S. & Shackelford, Douglas A., 2012. "Research in accounting for income taxes," Journal of Accounting and Economics, Elsevier, vol. 53(1), pages 412-434. citation courtesy of

December 2009The Real Effects of Financial Constraints: Evidence from a Financial Crisis
with Murillo Campello, Campbell R. Harvey: w15552

Published: Campello, Murillo & Graham, John R. & Harvey, Campbell R., 2010. "The real effects of financial constraints: Evidence from a financial crisis," Journal of Financial Economics, Elsevier, vol. 97(3), pages 470-487, September. citation courtesy of

July 2009The Effects of the Length of the Tax-Loss Carryback Period on Tax Receipts and Corporate Marginal Tax Rates
with Hyunseob Kim: w15177

Published: Graham, John R., and Hyunseob Kim, 2009, The Effects of the Length of the Tax-Loss Carryback Period on Tax Receipts and Corporate Marginal Tax Rates National Tax Journal 62, 413-427.

December 2007Corporate Misreporting and Bank Loan Contracting
with Si Li, Jiaping Qiu: w13708

Published: Graham, John R. & Li, Si & Qiu, Jiaping, 2008. "Corporate misreporting and bank loan contracting," Journal of Financial Economics, Elsevier, vol. 89(1), pages 44-61, July. citation courtesy of

Using Tax Return Data to Simulate Corporate Marginal Tax Rates
with Lillian F. Mills: w13709

Published: Using tax return data to simulate corporate marginal tax rates Author(s): Graham J R, Mills L F Journal: Journal of Accounting & Economics, Dec 2008, Volume: 46 Issue: 2 pp.366-388 (23 pages) citation courtesy of

Managerial Overconfidence and Corporate Policies
with Itzhak Ben-David, Campbell R. Harvey: w13711
November 2007Do Stock Prices Influence Corporate Decisions? Evidence from the Technology Bubble
with Murillo Campello: w13640

Published: Journal of Financial Economics Volume 107, Issue 1, January 2013, Pages 89–110

June 2005Investor Competence, Trading Frequency, and Home Bias
with Campbell R. Harvey, Hai Huang: w11426

Published: Graham, John R., Hai Huang, and Cam Harvey. "Investor Competence, Trading Frequency, and Home Bias." Management Science 55 (2009): 1094-1106. citation courtesy of

June 2004The Economic Implications of Corporate Financial Reporting
with Campbell R. Harvey, Shiva Rajgopal: w10550

Published: Graham, John R., Campbell R. Harvey and Shiva Rajgopal. "The Economic Implications Of Corporate Financial Reporting," Journal of Accounting and Economics, 2005, v40(1-3,Dec), 3-73. citation courtesy of

April 2003Payout Policy in the 21st Century
with Alon Brav, Campbell R. Harvey, Roni Michaely: w9657

Published: Brav, Alon, John R. Graham, Campbell R. Harvey and Roni Michaely. "Payout Policy In The 21st Century," Journal of Financial Economics, 2005, v77(3,Sep), 483-527. citation courtesy of

October 2002Employee Stock Options, Corporate Taxes and Debt Policy
with Mark H. Lang, Douglas A. Shackelford: w9289

Published: Graham, John R., Mark H. Lang and Douglas A. Shackelford. "Employee Stock Options, Corporate Taxes, And Debt Policy," Journal of Finance, 2004, v59(4,Aug), 1585-1618. citation courtesy of

December 2001Expectations of Equity Risk Premia, Volatility and Asymmetry from a Corporate Finance Perspective
with Campbell R. Harvey: w8678
June 1997Market Timing Ability and Volatility Implied in Investment Newletters' Asset Allocation Recommendations
with Campbell R. Harvey: w4890

Published: Journal of Financial Economics, 42 (1996), 397-421 . citation courtesy of

July 1990Black-White Differences in Wealth and Asset Composition
with Francine D. Blau: w2898

Published: The Quarterly Journal of Economics, Vol. CV, No. 421, Issue 2, pp. 321-339, (May 1990). citation courtesy of

Contact and additional information for this authorAll NBER papers and publicationsNBER Working Papers only

 
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