Valta, Philip

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Valta, Philip (2016). Strategic Default, Debt Structure, and Stock Returns. Journal of Financial and Quantitative Analysis, 51(1), pp. 197-229. Cambridge University Press 10.1017/S002210901600003X

Valta, Philip; Frésard, Laurent (2016). How Does Corporate Investment Respond to Increased Entry Threat? Review of Corporate Finance Studies, 5(1), pp. 1-35. Oxford University Press 10.1093/rcfs/cfv015


Valta, Philip; Morellec, Erwan; Zhdanov, Alexei (2015). Financing Investment: The Choice Between Bonds and Bank Loans. Management Science, 61(11), pp. 2580-2602. INFORMS 10.1287/mnsc.2014.2005


Favara, Giovanni; Schroth, Enrique; Valta, Philip (2012). Strategic Default and Equity Risk Across Countries. Journal of Finance, 67(6), pp. 2051-2095. Wiley 10.1111/j.1540-6261.2012.01781.x

Valta, Philip (2012). Competition and the cost of debt. Journal of Financial Economics, 105(3), pp. 661-682. Elsevier 10.1016/j.jfineco.2012.04.004

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