!!Marco Pagano - Selected Publications
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1. “Disaster Resilience and Asset Prices” (with Christian Wagner and Josef Zechner), forthcoming in the Journal of Financial Economics and covered by The Economist.\\
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2. “Advertising Arbitrage” (with Sergei Kovbasyuk), Review of Finance, Vol. 26, No. 4, 799–827, 2022.\\
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3. “Local Crowding Out in China” (with Yi Huang and Ugo Panizza), 2017 CICF Best Paper Award, Journal of Finance, Vol. 75, Issue 6, 2855-2898, 2020.\\
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4. “Career Risk and Market Discipline in Asset Management” (with Andrew Ellul and Annalisa Scognamiglio), Review of Financial Studies, Vol. 33, Issue 2, 783–828, 2020.\\
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5. “Corporate Leverage and Employee Protection in Bankruptcy” (with Andrew Ellul), Journal of Financial Economics, Vol. 133, Issue 3, 685-707, 2019. \\
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6. “Employment and Wage Insurance within Firms: Worldwide Evidence” (with Andrew Ellul and Fabiano Schivardi), Review of Financial Studies, Vol. 31, Issue 4, 1298–1340, 2018.\\
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7. “Bank Exposures and Sovereign Stress Transmission” (with Carlo Altavilla and Saverio Simonelli), Review of Finance, Vol. 21, Issue 6, 2103-2139, Editor’s choice and lead article, featured on the Managing Editors’ Blog, 2017.\\
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8. “Seeking Alpha: Excess Risk Taking and Competition for Managerial Talent” (with Viral Acharya and Paolo Volpin), Review of Financial Studies, Vol. 29, No. 10 (Editor’s Choice), 2565-2599, 2016.\\
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9.  “Short-Selling Bans around the World: Evidence from the 2007-09 Crisis” (with Alessandro Beber), Journal of Finance, Vol. 68, no. 1, February 2013, winner of the 2011/2012 Inquire U.K. Prize for Excellence.\\
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10. Market Liquidity:  Theory, Evidence and Policy (with Thierry Foucault and Ailsa Roëll), Oxford: Oxford University Press, 2013.\\ \\

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