Adriano A. Rampini
Affiliations: | Economics | Duke University, Durham, NC |
Area:
General EconomicsGoogle:
"Adriano Rampini"
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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 |