Adriano A. Rampini

Affiliations: 
Economics Duke University, Durham, NC 
Area:
General Economics
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Publications

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Rampini AA, Viswanathan S, Vuillemey G. (2020) Risk Management in Financial Institutions Journal of Finance. 75: 591-637
Rampini AA. (2019) Financing Durable Assets The American Economic Review. 109: 664-701
Rampini AA, Viswanathan S. (2019) Financial Intermediary Capital The Review of Economic Studies. 86: 413-455
Rampini AA, Viswanathan S. (2016) Household Risk Management National Bureau of Economic Research
Rampini AA, Sufi A, Viswanathan S. (2014) Dynamic risk management Journal of Financial Economics. 111: 271-296
Rampini AA, Viswanathan S. (2013) Collateral and capital structure Journal of Financial Economics. 109: 466-492
Rampini AA, Viswanathan S. (2011) Financial Intermediary Capital National Bureau of Economic Research
Rampini AA, Viswanathan S. (2010) Collateral, risk management, and the distribution of debt capacity Journal of Finance. 65: 2293-2322
Eisfeldt AL, Rampini AA. (2009) Leasing, ability to repossess, and debt capacity Review of Financial Studies. 22: 1621-1657
Eisfeldt AL, Rampini AA. (2008) Managerial incentives, capital reallocation, and the business cycle Journal of Financial Economics. 87: 177-199
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