Jerold B. Warner - Publications

Affiliations: 
University of Rochester, Rochester, NY 
Area:
Finance, Management Business Administration

22 high-probability publications. We are testing a new system for linking publications to authors. You can help! If you notice any inaccuracies, please sign in and mark papers as correct or incorrect matches. If you identify any major omissions or other inaccuracies in the publication list, please let us know.

Year Citation  Score
2020 Kostovetsky L, Warner JB. Measuring Innovation and Product Differentiation: Evidence from Mutual Funds Journal of Finance. 75: 779-823. DOI: 10.2139/Ssrn.2794380  0.437
2015 Kostovetsky L, Warner JB. You're fired! New evidence on portfolio manager turnover and performance Journal of Financial and Quantitative Analysis. 50: 729-755. DOI: 10.1017/S0022109015000125  0.372
2011 Jenter D, Lewellen K, Warner JB. Security Issue Timing: What Do Managers Know, and When Do They Know it? Journal of Finance. 66: 413-443. DOI: 10.2139/Ssrn.945471  0.484
2011 Warner JB, Wu JS. Why Do Mutual Fund Advisory Contracts Change? Performance, Growth, and Spillover Effects Journal of Finance. 66: 271-306. DOI: 10.1111/J.1540-6261.2010.01632.X  0.403
2006 Kothari SP, Lewellen J, Warner JB. Stock returns, aggregate earnings surprises, and behavioral finance Journal of Financial Economics. 79: 537-568. DOI: 10.1016/J.Jfineco.2004.06.016  0.472
2001 Kothari SP, Warner JB. Evaluating Mutual Fund Performance Journal of Finance. 56: 1985-2010. DOI: 10.2139/Ssrn.75871  0.415
2001 Edelen RM, Warner JB. Aggregate price effects of institutional trading: A study of mutual fund flow and market returns Journal of Financial Economics. 59: 195-220. DOI: 10.1016/S0304-405X(00)00085-4  0.433
1997 Kothari SP, Warner JB. Measuring long-horizon security price performance Journal of Financial Economics. 43: 301-339. DOI: 10.1016/S0304-405X(96)00899-9  0.361
1993 Barclay MJ, Warner JB. Stealth trading and volatility. Which trades move prices? Journal of Financial Economics. 34: 281-305. DOI: 10.1016/0304-405X(93)90029-B  0.461
1990 Barclay MJ, Litzenberger RH, Warner JB. Private information, trading volume, and stock-return variances Review of Financial Studies. 3: 233-253. DOI: 10.1093/Rfs/3.2.233  0.419
1989 Jensen MC, Fama EF, Long JB, Ruback RS, Schwert GW, Smith CW, Warner J. Clinical papers and their role in the development of financial economics Journal of Financial Economics. 24: 3-6. DOI: 10.1016/0304-405X(89)90069-X  0.305
1988 Warner JB, Watts RL, Wruck KH. Stock prices and top management changes Journal of Financial Economics. 20: 461-492. DOI: 10.1016/0304-405X(88)90054-2  0.42
1988 Jensen MC, Warner JB. The distribution of power among corporate managers, shareholders, and directors Journal of Financial Economics. 20: 3-24. DOI: 10.1016/0304-405X(88)90038-4  0.502
1985 Brown SJ, Warner JB. Using daily stock returns. The case of event studies Journal of Financial Economics. 14: 3-31. DOI: 10.1016/0304-405X(85)90042-X  0.34
1985 Warner JB. Stock market reaction to management incentive plan adoption. An overview Journal of Accounting and Economics. 7: 145-149. DOI: 10.1016/0165-4101(85)90033-3  0.489
1983 Dodd P, Warner JB. On corporate governance. A study of proxy contests Journal of Financial Economics. 11: 401-438. DOI: 10.1016/0304-405X(83)90018-1  0.498
1980 Brown SJ, Warner JB. Measuring Security Price Performance Journal of Financial Economics. 8: 205-258. DOI: 10.1016/0304-405X(80)90002-1  0.502
1979 Smith CW, Warner JB. Bankruptcy, Secured Debt, and Optimal Capital Structure: Comment Journal of Finance. 34: 247-251. DOI: 10.1111/J.1540-6261.1979.Tb02085.X  0.432
1979 Smith CW, Warner JB. On financial contracting. An analysis of bond covenants Journal of Financial Economics. 7: 117-161. DOI: 10.1016/0304-405X(79)90011-4  0.411
1978 Warner JB, Altman EI, Sametz AW. Financial Crises: Institutions and Markets In a Fragile Environment. Journal of Finance. 33: 366. DOI: 10.2307/2326381  0.465
1977 Siegel JJ, Warner JB. INDEXATION, THE RISK‐FREE ASSET, AND CAPITAL MARKET EQUILIBRIUM The Journal of Finance. 32: 1101-1107. DOI: 10.1111/J.1540-6261.1977.Tb03313.X  0.505
1977 Warner JB. Bankruptcy, absolute priority, and the pricing of risky debt claims Journal of Financial Economics. 4: 239-276. DOI: 10.1016/0304-405X(77)90002-2  0.521
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