Capital requirements, risk choice, and liquidity provision in a business-cycle model J Begenau Journal of Financial Economics 136 (2), 355-378, 2020 | 332 | 2020 |
Big data in finance and the growth of large firms J Begenau, M Farboodi, L Veldkamp Journal of Monetary Economics 97, 71-87, 2018 | 295 | 2018 |
Banks' risk exposures J Begenau, M Piazzesi, M Schneider National Bureau of Economic Research, 2015 | 252 | 2015 |
Financial regulation in a quantitative model of the modern banking system J Begenau, T Landvoigt The Review of Economic Studies 89 (4), 1748-1784, 2022 | 245 | 2022 |
Firm financing over the business cycle J Begenau, J Salomao The Review of Financial Studies 32 (4), 1235-1274, 2019 | 220 | 2019 |
Firm selection and corporate cash holdings J Begenau, B Palazzo Journal of Financial Economics 139 (3), 697-718, 2021 | 158 | 2021 |
A q-theory of banks J Begenau, S Bigio, J Majerovitz, M Vieyra National Bureau of Economic Research, 2020 | 65* | 2020 |
Do banks have an edge? J Begenau, E Stafford Available at SSRN 3095550, 2019 | 46* | 2019 |
Fee variation in private equity J Begenau, EN Siriwardane The Journal of Finance 79 (2), 1199-1247, 2024 | 28* | 2024 |
Uniform rate setting and the deposit channel J Begenau, E Stafford Available at SSRN 4136858, 2022 | 27 | 2022 |
The rise in alternatives J Begenau, P Liang, E Siriwardane Stanford University Graduate School of Business Research Paper, 2023 | 15 | 2023 |
Unstable Inference from Banks' Stable Net Interest Margins J Begenau, E Stafford Available at SSRN 4136866, 2022 | 14* | 2022 |
An empirical guide to investor-level private equity data from preqin J Begenau, C Robles-Garcia, E Siriwardane, L Wang Available at SSRN 3764895, 2020 | 12 | 2020 |
Remapping the Flow of Funds J Begenau, M Piazzesi, M Schneider Risk Topography: Systemic Risk and Macro Modeling, 57-64, 2012 | 3 | 2012 |
Determinants of bank performance: Evidence from replicating portfolios C Altavilla, J Begenau, L Burlon, F Hünnekes ECB Working Paper, 2024 | | 2024 |
Discussion of Competition, Stability, and Efficiency in the Banking Industry by Corbae and Levine J Begenau | | 2024 |
7 A New Approach to Measuring Banks’ Risk Exposure J Begenau Leveraged, 165-186, 2022 | | 2022 |
Stable Net-Interest Margin and Interest Rate Exposure of US Banks J Begenau, ES HBS | | 2020 |
Comment on" Government Guarantees and the Valuation of American Banks" J Begenau NBER Macroeconomics Annual 2018, volume 33, 146-156, 2018 | | 2018 |
Essays in Financial Regulation and Macro-Finance J Begenau Stanford University, 2014 | | 2014 |