The impact of idiosyncratic risk on corporate financialisation——Evidence from China

[1]  Effie Kesidou,et al.  Financialisation and Innovation in Emerging Economies: Evidence from Brazil , 2018 .

[2]  Özlem Onaran,et al.  The labour share and financialisation: Evidence from publicly listed firms , 2018 .

[3]  R. Stambaugh,et al.  Size and Value in China , 2018, Journal of Financial Economics.

[4]  Leila Davis Financialization and Investment: A Survey of the Empirical Literature , 2017 .

[5]  Yeqin Zeng,et al.  Motivated Monitoring by Institutional Investors and Firm Investment Efficiency , 2017, European Financial Management.

[6]  Hyunseob Kim,et al.  The Asset Redeployability Channel: How Uncertainty Affects Corporate Investment , 2016 .

[7]  D. Bradley,et al.  Policy Risk, Corporate Political Strategies, and the Cost of Debt , 2016 .

[8]  Ignacio Álvarez Financialization, non-financial corporations and income inequality: the case of France , 2015 .

[9]  Huseyin Gulen,et al.  Policy Uncertainty and Corporate Investment , 2015 .

[10]  Audra L. Boone,et al.  The Effect of Institutional Ownership on Firm Transparency and Information Production , 2015 .

[11]  E. Fama,et al.  A Five-Factor Asset Pricing Model , 2014 .

[12]  S. Davis,et al.  Measuring Economic Policy Uncertainty , 2013 .

[13]  Yoo Chan Kim,et al.  Financialization and the Slowdown in Korean Firms' R&D Investment∗ , 2012, Asian Economic Papers.

[14]  D. Papanikolaou,et al.  Investment, Idiosyncratic Risk, and Ownership , 2011 .

[15]  Sean Cleary,et al.  Institutional Investment Horizon and Investment-Cash Flow Sensitivity , 2011 .

[16]  Pietro Veronesi,et al.  Political Uncertainty and Risk Premia , 2011 .

[17]  Ľuboš Pástor,et al.  Uncertainty about Government Policy and Stock Prices , 2010 .

[18]  Firat Demir Financialization and Manufacturing Firm Profitability Under Uncertainty and Macroeconomic Volatility: Evidence from an Emerging Market , 2009 .

[19]  Charles J. Hadlock,et al.  New Evidence on Measuring Financial Constraints: Moving Beyond the KZ Index , 2009 .

[20]  Dipankar Ghosh,et al.  Environmental Uncertainty and Managers' Use of Discretionary Accruals , 2009 .

[21]  Firat Demir Financial liberalization, private investment and portfolio choice: Financialization of real sectors in emerging markets , 2009 .

[22]  Christopher F. Baum,et al.  The second moments matter: The impact of macroeconomic uncertainty on the allocation of loanable funds , 2009 .

[23]  Fangjian Fu Idiosyncratic Risk and the Cross-Section of Expected Stock Returns , 2009 .

[24]  Joseph T. Mahoney,et al.  The effects of demand, competitive, and technological uncertainty on board monitoring and institutional ownership of IPO firms , 2008 .

[25]  N. Bloom Uncertainty and the Dynamics of R&D , 2007 .

[26]  Connie X. Mao,et al.  Institutional Ownership Stability and the Cost of Debt , 2006 .

[27]  Gianluca Femminis RISK‐AVERSION, OPTIMAL LEVERAGE AND THE INVESTMENT–UNCERTAINTY RELATION , 2006 .

[28]  Toni M. Whited,et al.  Financial Constraints Risk , 2005 .

[29]  R. Hodrick,et al.  The Cross-Section of Volatility and Expected Returns , 2006 .

[30]  James R. Crotty The Neoliberal Paradox: The Impact of Destructive Product Market Competition and Impatient Finance on Nonfinancial Corporations in the Neoliberal Era , 2003 .

[31]  P. Santa-clara,et al.  Idiosyncratic Risk Matters! , 2002 .

[32]  L. Starks,et al.  Institutional Investors and Executive Compensation , 2000 .

[33]  W. Lazonick,et al.  Maximizing shareholder value: a new ideology for corporate governance , 2000 .

[34]  Brian J. Bushee Do Institutional Investors Prefer Near-Term Earnings Over Long-Run Value? , 1999 .

[35]  Tamotsu Nakamura,et al.  Risk-aversion and the uncertainty-investment relationship: a note , 1999 .

[36]  Sunil Wahal,et al.  Do Institutional Investors Exacerbate Managerial Myopia? , 1997 .

[37]  Mark M. Carhart On Persistence in Mutual Fund Performance , 1997 .

[38]  E. Fama,et al.  Common risk factors in the returns on stocks and bonds , 1993 .

[39]  Kenneth A. Froot,et al.  Risk Management: Coordinating Corporate Investment and Financing Policies , 1992 .

[40]  G. Potter Accounting Earnings Announcements, Institutional Investor Concentration, And Common-Stock Returns , 1992 .

[41]  Joseph Zeira,et al.  Cost uncertainty and the rate of investment , 1990 .

[42]  Kathleen M. Lindsay Financial Crises and Investment Behavior: The Impact of Institutional Investors , 2017 .

[43]  K. A. Akkemik,et al.  Macroeconomic and institutional determinants of financialisation of non-financial firms: Case study of Turkey , 2014 .

[44]  Leila Davis Financialization and the nonfinancial corporation: an investigation of firm-level investment behavior in the U.S., 1971-2011 , 2013 .