Timing, investment opportunities, managerial discretion, and the security issue decision K Jung, YC Kim, RM Stulz Journal of financial economics 42 (2), 159-185, 1996 | 1525 | 1996 |
The underreaction hypothesis and the new issue puzzle: Evidence from Japan JK Kang, YC Kim, RM Stulz The review of financial studies 12 (3), 519-534, 1999 | 222 | 1999 |
The Eurobond market and corporate financial policy: A test of the clientele hypothesis YC Kim, RM Stulz Journal of Financial Economics 22 (2), 189-205, 1988 | 182 | 1988 |
Is there a global market for convertible bonds? YC Kim, RM Stulz Journal of Business, 75-91, 1992 | 100 | 1992 |
An analysis of the wealth effects of Japanese offshore dollar-denominated convertible and warrant bond issues JK Kang, YC Kim, KJ Park, RM Stulz Journal of Financial and Quantitative Analysis 30 (2), 257-270, 1995 | 93 | 1995 |
Stock price reaction to international investment and divestiture and management of currency operating exposure YC Kim Journal of Economics and Business 49 (5), 419-437, 1997 | 20 | 1997 |
Unintended regulatory consequences: Evidence from the Korean IPOs K Chang, YC Kim, YS Kim, JH Thornton Jr Pacific-Basin Finance Journal 20 (2), 292-309, 2012 | 16 | 2012 |
Managerial discretion, investment opportunities, and the security issue decision K Jung, YC Kim, R Stulz Journal of Financial Economics 42, 159-185, 1996 | 16 | 1996 |
Heterogeneous patterns of income diversification effects in US bank holding companies J Kim, YC Kim International Review of Economics & Finance 69, 731-749, 2020 | 15 | 2020 |
Managing operating exposure: A case study of the automobile industry YC Kim, R McElreath Multinational Business Review 9 (1), 21, 2001 | 11 | 2001 |
Effective and Empirical Durations of Mortgage Securities L Hayre, H Chang Journal of Fixed Income 6, 17-33, 1997 | 11 | 1997 |
Financial crisis and a transmission mechanism of external shocks: The signaling role of the Korean Monetary Stabilization Bond J Kim, YC Kim Journal of Financial Stability 9 (4), 682-694, 2013 | 9 | 2013 |
Investment opportunities, managerial decisions, and the security issue decision K Jung, YC Kim, RM Stulz National Bureau of Economic Research, 1994 | 8 | 1994 |
Weak firms follow strong firms in hot IPO markets K Chang, YC Kim, H Shim Asia‐Pacific Journal of Financial Studies 42 (1), 76-108, 2013 | 7 | 2013 |
The Eurobond Market and Corporate Financial Policy: A Test of the Clientele Supply Hypothesis YC Kim College of Business, Ohio State University, 1987 | 4 | 1987 |
Analysis of the Eurobond market YC Kim The Ohio State University, 1987 | 3 | 1987 |
Political capital: An analysis of Congress voting on the financial regulations X Hao, YC Kim, Y Lim Asia‐Pacific Journal of Financial Studies 48 (6), 869-892, 2019 | 2 | 2019 |
Why Do Banks Speculate and Hedge on Derivatives? K Chen, YC Kim | 2 | 2014 |
Monetary Liquidity, Market Liquidity, and Financial Intermediation U Chatterjee, Y Kim Asia-Pacific Journal of Financial Studies, Fifth Annual Conference on Asia …, 2010 | 2 | 2010 |
Hands in the cookie jar? The case of management buyouts K Chen, YC Kim, RD Marcus The Case of Management Buyouts (March 18, 2009), 2009 | 2 | 2009 |