Does financial liberalization spur growth? G Bekaert, CR Harvey, C Lundblad Journal of Financial economics 77 (1), 3-55, 2005 | 3221 | 2005 |
Liquidity and expected returns: Lessons from emerging markets G Bekaert, CR Harvey, C Lundblad The review of financial studies 20 (6), 1783-1831, 2007 | 1579 | 2007 |
Regulatory pressure and fire sales in the corporate bond market A Ellul, C Jotikasthira, CT Lundblad Journal of Financial Economics 101 (3), 596-620, 2011 | 691 | 2011 |
Consumption, dividends, and the cross section of equity returns R Bansal, RF Dittmar, CT Lundblad The Journal of Finance 60 (4), 1639-1672, 2005 | 688 | 2005 |
Emerging equity markets and economic development G Bekaert, CR Harvey, C Lundblad Journal of development Economics 66 (2), 465-504, 2001 | 681 | 2001 |
Growth volatility and financial liberalization G Bekaert, CR Harvey, C Lundblad Journal of international money and finance 25 (3), 370-403, 2006 | 661 | 2006 |
What segments equity markets? G Bekaert, CR Harvey, CT Lundblad, S Siegel The Review of Financial Studies 24 (12), 3841-3890, 2011 | 629 | 2011 |
Asset fire sales and purchases and the international transmission of funding shocks C Jotikasthira, C Lundblad, T Ramadorai The Journal of Finance 67 (6), 2015-2050, 2012 | 501 | 2012 |
Financial openness and productivity G Bekaert, CR Harvey, C Lundblad World development 39 (1), 1-19, 2011 | 499 | 2011 |
Global growth opportunities and market integration G Bekaert, CR Harvey, C Lundblad, S Siegel The Journal of Finance 62 (3), 1081-1137, 2007 | 499 | 2007 |
The risk return tradeoff in the long run: 1836–2003 C Lundblad Journal of Financial Economics 85 (1), 123-150, 2007 | 496 | 2007 |
Equity market liberalization in emerging markets G Bekaert, CR Harvey, CT Lundblad Journal of Financial Research 26 (3), 275-299, 2003 | 407 | 2003 |
Political risk spreads G Bekaert, CR Harvey, CT Lundblad, S Siegel Journal of International Business Studies 45, 471-493, 2014 | 319 | 2014 |
The European Union, the Euro, and equity market integration G Bekaert, CR Harvey, CT Lundblad, S Siegel Journal of Financial Economics 109 (3), 583-603, 2013 | 253 | 2013 |
Is historical cost accounting a panacea? Market stress, incentive distortions, and gains trading A Ellul, C Jotikasthira, CT Lundblad, Y Wang The Journal of Finance 70 (6), 2489-2538, 2015 | 205 | 2015 |
Why do term structures in different currencies co-move? C Jotikasthira, A Le, C Lundblad Journal of Financial Economics 115 (1), 58-83, 2015 | 162 | 2015 |
Political risk and international valuation G Bekaert, CR Harvey, CT Lundblad, S Siegel Journal of Corporate Finance 37, 1-23, 2016 | 147 | 2016 |
Growth volatility and equity market liberalization G Bekaert, CR Harvey, C Lundblad Working Paper,(Duke University), 2002 | 142 | 2002 |
Market efficiency, asset returns, and the size of the risk premium in global equity markets R Bansal, C Lundblad Journal of Econometrics 109 (2), 195-237, 2002 | 126 | 2002 |
Mark-to-market accounting and systemic risk: Evidence from the insurance industry A Ellul, C Jotikasthira, CT Lundblad, Y Wang Economic Policy 29 (78), 297-341, 2014 | 83* | 2014 |