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Kristine Hankins
Kristine Hankins
在 uky.edu 的电子邮件经过验证 - 首页
标题
引用次数
引用次数
年份
Estimating dynamic panel models in corporate finance
MJ Flannery, KW Hankins
Journal of Corporate Finance, 2012
10222012
Cash Flows and Leverage Adjustments
M Faulkender, MJ Flannery, KW Hankins, JM Smith
Journal of Financial Economics, 2012
966*2012
Financial flexibility, risk management, and payout choice
AA Bonaimé, KW Hankins, J Harford
The Review of Financial Studies 27 (4), 1074-1101, 2014
2292014
The role of risk management in mergers and merger waves
JA Garfinkel, KW Hankins
Journal of Financial Economics 101 (3), 515-532, 2011
2002011
Understanding the Rise in Corporate Cash: Precautionary Savings or Foreign Taxes
MW Faulkender, KW Hankins, MA Petersen
Review of Financial Studies, 2018
187*2018
The cost of financial flexibility: Evidence from share repurchases
AA Bonaimé, KW Hankins, BD Jordan
Journal of Corporate Finance 38, 345-362, 2016
107*2016
How Do Financial Firms Manage Risk? Unraveling the Interaction of Financial and Operational Hedging
KW Hankins
Management Science, 2011
992011
Risk Management with Supply Contracts
H Almeida, KW Hankins, R Williams
Review of Financial Studies, 2017
792017
The Effect of Fiduciary Standards on Institutional Investors’ Preference for Dividend-Paying Stocks,
KW Hankins, MJ Flannery, M Nimalendran
Financial Management, 2008
342008
Corporate responses to stock price fragility
R Friberg, I Goldstein, KW Hankins
Journal of Financial Economics 153, 2024
212024
Do Firms Hedge During Distress?
H Almeida, KW Hankins, R Williams
Available at SSRN 3393020, 2019
92019
Does Trade Policy Affect Consumer Credit? The Role of Captive Finance Lenders
KW Hankins, M Momeni Shahraki, D Sovich
The Role of Captive Finance Lenders (June 2, 2022), 2022
7*2022
Why Are Companies Sitting on So Much Cash?
KW Hankins, MA Petersen
Harvard Business Review, 2020
52020
Estimating dynamic panels in corporate finance
M Flannery, K Hankins
Unpublished working paper, University of Florida and University of Kentucky, 2011
52011
Risk Management
KW Hankins, G Hoberg
Handbook of Corporate Finance, 294–321, 2024
1*2024
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