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Research Interests for S. Viswanathan

Research Interests: Corporate Finance

Keywords:
Airlines, Risk Management
Areas of Interest:

Market Microstructure
Corporate Finance

Recent Publications
  1. Rampini, AA; Viswanathan, S; Vuillemey, G, Risk Management in Financial Institutions, Journal of Finance, vol. 75 no. 2 (April, 2020), pp. 591-637 [doi[abs]
  2. Rampini, AA; Viswanathan, S, Financial Intermediary Capital (January, 2019), pp. 413-455 [doi[abs]
  3. Breeden, DT; Viswanathan, S, Why do firms hedge? An asymmetric information model, Journal of Fixed Income, vol. 25 no. 3 (December, 2016), pp. 7-25, Institutional Investor Journals [doi]
  4. Rampini, AA; Sufi, A; Viswanathan, S, Dynamic risk management, Journal of Financial Economics, vol. 111 no. 2 (February, 2014), pp. 271-296, ISSN 0304-405X [doi[abs]
  5. Rampini, AA; Viswanathan, S, Collateral and capital structure, Journal of Financial Economics, vol. 109 no. 2 (August, 2013), pp. 466-492, Elsevier BV, ISSN 0304-405X [doi[abs]

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