The debt-equity choice A Hovakimian, T Opler, S Titman Journal of Financial and Quantitative analysis 36 (1), 1-24, 2001 | 2915 | 2001 |
Determinants of target capital structure: The case of dual debt and equity issues A Hovakimian, G Hovakimian, H Tehranian Journal of financial economics 71 (3), 517-540, 2004 | 954 | 2004 |
Determinants of target capital structure: The case of dual debt and equity issues A Hovakimian, G Hovakimian, H Tehranian Journal of financial economics 71 (3), 517-540, 2004 | 954 | 2004 |
Are observed capital structures determined by equity market timing? A Hovakimian Journal of Financial and Quantitative analysis 41 (1), 221-243, 2006 | 574 | 2006 |
Volatility spreads and expected stock returns TG Bali, A Hovakimian Management Science 55 (11), 1797-1812, 2009 | 410 | 2009 |
Effectiveness of capital regulation at US commercial banks, 1985 to 1994 A Hovakimian, EJ Kane the Journal of Finance 55 (1), 451-468, 2000 | 342 | 2000 |
The role of target leverage in security issues and repurchases A Hovakimian The Journal of Business 77 (4), 1041-1072, 2004 | 304 | 2004 |
In search of conclusive evidence: How to test for adjustment to target capital structure A Hovakimian, G Li Journal of Corporate Finance 17 (1), 33-44, 2011 | 303 | 2011 |
How country and safety-net characteristics affect bank risk-shifting A Hovakimian, EJ Kane, L Laeven Journal of financial services research 23, 177-204, 2003 | 250 | 2003 |
Cash flow sensitivity of investment A Hovakimian, G Hovakimian European Financial Management 15 (1), 47-65, 2009 | 220 | 2009 |
Cash flow sensitivity of investment A Hovakimian, G Hovakimian European Financial Management 15 (1), 47-65, 2009 | 220 | 2009 |
Merger‐Motivated IPOs A Hovakimian, I Hutton Financial management 39 (4), 1547-1573, 2010 | 130 | 2010 |
Credit rating targets A Hovakimian, A Kayhan, S Titman Available at SSRN 1098351, 2009 | 114 | 2009 |
Are corporate default probabilities consistent with the static trade-off theory? A Hovakimian, A Kayhan, S Titman The Review of Financial Studies 25 (2), 315-340, 2012 | 106 | 2012 |
Tracking variation in systemic risk at us banks during 1974-2013 A Hovakimian, EJ Kane, L Laeven National Bureau of Economic Research, 2012 | 102 | 2012 |
Tracking variation in systemic risk at us banks during 1974-2013 A Hovakimian, EJ Kane, L Laeven National Bureau of Economic Research, 2012 | 102 | 2012 |
Conflicts of interest and analyst behavior: Evidence from recent changes in regulation A Hovakimian, E Saenyasiri Financial Analysts Journal 66 (4), 96-107, 2010 | 60 | 2010 |
The capital structure choice: New evidence for a dynamic tradeoff model A Hovakimian, T Opler, S Titman Journal of applied corporate finance 15 (1), 24-30, 2002 | 60 | 2002 |
Is the partial adjustment model a useful tool for capital structure research? A Hovakimian, G Li Review of Finance 16 (3), 733-754, 2012 | 58 | 2012 |
Corporate financing activities and contrarian investment TG Bali, KO Demirtas, A Hovakimian Review of Finance 14 (3), 543-584, 2010 | 41 | 2010 |