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william maxwell
william maxwell
professor of finance, SMU
Verified email at smu.edu
Title
Cited by
Cited by
Year
Corporate governance and firm cash holdings in the US
J Harford, SA Mansi, WF Maxwell
Journal of financial economics 87 (3), 535-555, 2008
25512008
An examination of long‐term abnormal stock returns and operating performance following R&D increases
AC Eberhart, WF Maxwell, AR Siddique
The journal of finance 59 (2), 623-650, 2004
12652004
Does auditor quality and tenure matter to investors? Evidence from the bond market
SA Mansi, WF Maxwell, DP Miller
Journal of Accounting research 42 (4), 755-793, 2004
11852004
Does corporate governance matter to bondholders?
MS Klock, SA Mansi, WF Maxwell
Journal of financial and quantitative analysis 40 (4), 693-719, 2005
8492005
Measuring abnormal bond performance
H Bessembinder, KM Kahle, WF Maxwell, D Xu
The Review of Financial Studies 22 (10), 4219-4258, 2008
7752008
Refinancing risk and cash holdings
J Harford, S Klasa, WF Maxwell
The Journal of Finance 69 (3), 975-1012, 2014
7632014
Market transparency, liquidity externalities, and institutional trading costs in corporate bonds
H Bessembinder, W Maxwell, K Venkataraman
Journal of Financial Economics 82 (2), 251-288, 2006
6682006
The influence of product market dynamics on a firm's cash holdings and hedging behavior
D Haushalter, S Klasa, WF Maxwell
Journal of financial Economics 84 (3), 797-825, 2007
6602007
The strategic use of corporate cash holdings in collective bargaining with labor unions
S Klasa, WF Maxwell, H Ortiz-Molina
Journal of financial economics 92 (3), 421-442, 2009
4722009
The wealth effects of repurchases on bondholders
WF Maxwell, CP Stephens
The Journal of Finance 58 (2), 895-919, 2003
3662003
Capital commitment and illiquidity in corporate bonds
H Bessembinder, S Jacobsen, W Maxwell, K Venkataraman
The Journal of Finance 73 (4), 1615-1661, 2018
3402018
Markets: Transparency and the corporate bond market
H Bessembinder, W Maxwell
Journal of economic perspectives 22 (2), 217-234, 2008
3362008
Analyst forecast characteristics and the cost of debt
SA Mansi, WF Maxwell, DP Miller
Review of Accounting Studies 16, 116-142, 2011
2912011
Do spin‐offs expropriate wealth from bondholders?
WF Maxwell, RP Rao
The Journal of Finance 58 (5), 2087-2108, 2003
2372003
A reexamination of the tradeoff between the future benefit and riskiness of R&D increases
A Eberhart, W Maxwell, A Siddique
Journal of Accounting Research 46 (1), 27-52, 2008
2102008
Modeling correlated market and credit risk in fixed income portfolios
TM Barnhill Jr, WF Maxwell
Journal of Banking & finance 26 (2-3), 347-374, 2002
1762002
Modeling correlated market and credit risk in fixed income portfolios
TM Barnhill Jr, WF Maxwell
Journal of Banking & finance 26 (2-3), 347-374, 2002
1762002
The January effect in the corporate bond market: A systematic examination
WF Maxwell
Financial Management, 18-30, 1998
1041998
Creditor protection laws and the cost of debt
SA Mansi, WF Maxwell, JK Wald
The Journal of Law and Economics 52 (4), 701-717, 2009
752009
Factors affecting the yields on noninvestment grade bond indices: a cointegration analysis
TM Barnhill Jr, FL Joutz, WF Maxwell
Journal of Empirical Finance 7 (1), 57-86, 2000
642000
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Articles 1–20