Vijay Yerramilli, Ph.D.

Affiliations: 
2005 University of Minnesota, Twin Cities, Minneapolis, MN 
Area:
Finance, Banking Business Administration
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"Vijay Yerramilli"

Parents

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Andrew Winton grad student 2005 UMN
 (Start -up firms: Choice of financier, investment structure and governance mechanism.)
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Publications

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Kumar P, Yerramilli V. (2018) Optimal Capital Structure and Investment with Real Options and Endogenous Debt Costs Review of Financial Studies. 31: 3452-3490
Doshi H, Kumar P, Yerramilli V. (2017) Uncertainty, Capital Investment, and Risk Management Management Science. 64: 5769-5786
Gopalan R, Song F, Yerramilli V. (2014) Debt maturity structure and credit quality Journal of Financial and Quantitative Analysis. 49: 817-842
Singh R, Yerramilli V. (2014) Market efficiency, managerial compensation, and real efficiency Journal of Corporate Finance. 29: 561-578
Ellul A, Yerramilli V. (2013) Stronger risk controls, lower risk: Evidence from U.S. bank holding companies Journal of Finance. 68: 1757-1803
Ellul A, Yerramilli V. (2013) Stronger Risk Controls, Lower Risk: Evidence from U.S. Bank Holding Companies: Stronger Risk Controls, Lower Risk Journal of Finance. 68: 1757-1803
Yerramilli V. (2011) Moral hazard, hold-up, and the optimal allocation of control rights Rand Journal of Economics. 42: 705-728
Gopalan R, Nanda V, Yerramilli V. (2011) Does Poor Performance Damage the Reputation of Financial Intermediaries? Evidence from the Loan Syndication Market Journal of Finance. 66: 2083-2120
Gopalan R, Udell GF, Yerramilli V. (2011) Why do firms form new banking relationships? Journal of Financial and Quantitative Analysis. 46: 1335-1365
Winton A, Yerramilli V. (2008) Entrepreneurial finance: Banks versus venture capital Journal of Financial Economics. 88: 51-79
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