jerold b. warner
jerold b. warner
Gowen Professor of Finance, Simon School, University of Rochester
Verified email at simon.rochester.edu
TitleCited byYear
Using daily stock returns: The case of event studies
SJ Brown, JB Warner
Journal of financial economics 14 (1), 3-31, 1985
81741985
Measuring security price performance
SJ Brown, JB Warner
Journal of financial economics 8 (3), 205-258, 1980
45191980
On financial contracting: An analysis of bond covenants
CW Smith Jr, JB Warner
Journal of financial economics 7 (2), 117-161, 1979
39401979
Bankruptcy costs: Some evidence
JB Warner
The journal of Finance 32 (2), 337-347, 1977
21491977
Stock prices and top management changes
JB Warner, RL Watts, KH Wruck
Journal of financial Economics 20, 461-492, 1988
21041988
Econometrics of event studies
SP Kothari, JB Warner
Handbook of empirical corporate finance, 3-36, 2007
14072007
Measuring long-horizon security price performance
SP Kothari, JB Warner
Journal of financial economics 43 (3), 301-339, 1997
13971997
On corporate governance: A study of proxy contests
P Dodd, JB Warner
Journal of financial Economics 11 (1-4), 401-438, 1983
13191983
Stealth trading and volatility: Which trades move prices?
MJ Barclay, JB Warner
Journal of Financial Economics 34 (3), 281-305, 1993
11721993
The distribution of power among corporate managers, shareholders, and directors
MC Jensen, JB Warner
Journal of Financial Economics 20, 3-24, 1988
6101988
Private information, trading volume, and stock-return variances
MJ Barclay, RH Litzenberger, JB Warner
The Review of Financial Studies 3 (2), 233-253, 1990
4571990
Evaluating mutual fund performance
SP Kothari, JB Warner
The Journal of Finance 56 (5), 1985-2010, 2001
4492001
Aggregate price effects of institutional trading: a study of mutual fund flow and market returns
RM Edelen, JB Warner
Journal of Financial Economics 59 (2), 195-220, 2001
4402001
Stock returns, aggregate earnings surprises, and behavioral finance
SP Kothari, J Lewellen, JB Warner
Journal of Financial Economics 79 (3), 537-568, 2006
4112006
Bankruptcy, absolute priority, and the pricing of risky debt claims
JB Warner
Journal of Financial Economics 4 (3), 239-276, 1977
3721977
Bankruptcy, secured debt, and optimal capital structure: Comment
CW Smith, JB Warner
The Journal of Finance 34 (1), 247-251, 1979
2281979
Private versus public debt: Evidence from firms that replace bank loans with junk bonds
SC Gilson, JB Warner
Available at SSRN 140093, 1998
811998
Security issue timing: What do managers know, and when do they know it?
D Jenter, K Lewellen, JB Warner
The Journal of Finance 66 (2), 413-443, 2011
742011
Why do mutual fund advisory contracts change? Performance, growth, and spillover effects
JB Warner, JS Wu
The Journal of Finance 66 (1), 271-306, 2011
702011
The behavior of aggregate corporate investment
SP Kothari, J Lewellen, JB Warner
Simon Business School Working Paper No. FR 14-18, 2014
642014
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Articles 1–20