Marti G. Subrahmanyam
Affiliations: | New York University, Graduate School of Business Administration |
Area:
Banking Business Administration, Finance, General Business AdministrationGoogle:
"Marti Subrahmanyam"Children
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Publications
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Augustin P, Sokolovski V, Subrahmanyam MG, et al. (2021) In sickness and in debt: The COVID-19 impact on sovereign credit risk. Journal of Financial Economics. 143: 1251-1274 |
Carletti E, Oliviero T, Pagano M, et al. (2020) The COVID-19 Shock and Equity Shortfall: Firm-Level Evidence from Italy The Review of Corporate Finance Studies |
Augustin P, Brenner M, Subrahmanyam MG. (2019) Informed Options Trading Prior to Takeover Announcements: Insider Trading? Management Science. 65: 5697-5720 |
Friewald N, Jankowitsch R, Subrahmanyam MG. (2017) Transparency and Liquidity in the Structured Product Market The Review of Asset Pricing Studies. 7: 316-348 |
Subrahmanyam MG, Tang DY, Wang SQ. (2017) Credit default swaps, exacting creditors and corporate liquidity management Journal of Financial Economics. 124: 395-414 |
Augustin P, Subrahmanyam MG, Tang DY, et al. (2016) Credit Default Swaps: Past, Present, and Future Review of Financial Economics. 8: 175-196 |
Pelizzon L, Subrahmanyam MG, Tomio D, et al. (2016) Sovereign credit risk, liquidity, and European Central Bank intervention: Deus ex machina? Journal of Financial Economics. 122: 86-115 |
Subrahmanyam MG, Tang DY, Wang SQ. (2015) Does the tail wag the dog? The effect of credit default swaps on credit risk Development in India: Micro and Macro Perspectives. 199-236 |
Eisl A, Jankowitsch R, Subrahmanyam MG. (2014) The Manipulation Potential of Libor and Euribor European Financial Management. 23: 604-647 |
Augustin P, Subrahmanyam MG, Tang DY, et al. (2014) Credit default swaps: A survey Foundations and Trends in Finance. 9: 1-196 |