CEO Horizon, Optimal Pay Duration, and the Escalation of Short‐Termism I Marinovic, F Varas The Journal of Finance 74 (4), 2019 | 130 | 2019 |
Managerial short-termism, turnover policy, and the dynamics of incentives F Varas The Review of Financial Studies 31 (9), 3409-3451, 2018 | 83* | 2018 |
Random inspections and periodic reviews: Optimal dynamic monitoring F Varas, I Marinovic, A Skrzypacz Review of Economic Studies 87 (6), 2020 | 71 | 2020 |
No news is good news: Voluntary disclosure in the face of litigation I Marinovic, F Varas The RAND Journal of Economics 47 (4), 822-856, 2016 | 70 | 2016 |
A theory of zombie lending Y Hu, F Varas The Journal of Finance 76 (4), 1813-1867, 2021 | 65* | 2021 |
Dynamic Certification and Reputation for Quality I Marinovic, A Skrzypacz, F Varas American Economic Journal: Microeconomics 10 (2), 2018 | 44 | 2018 |
The dynamics of concealment J Bertomeu, I Marinovic, SJ Terry, F Varas Journal of Financial Economics 143 (1), 227-246, 2022 | 41 | 2022 |
The credibility of financial reporting: A reputation-based approach I Marinovic, Y Liang, F Varas The Accounting Review 93 (1), 317-333, 2018 | 40 | 2018 |
Debt maturity management Y Hu, F Varas, C Ying Working paper, 2021 | 21 | 2021 |
Strategic trading and blockholder dynamics I Marinovic, F Varas Working paper, 2021 | 16* | 2021 |
Equity issues and return volatility B Larrain, F Varas Review of Finance 17 (2), 767-808, 2013 | 14 | 2013 |
Intermediary financing without commitment Y Hu, F Varas Working paper, Duke University, 2021 | 12 | 2021 |
Optimal close-to-home biases in asset allocation F Varas, E Walker Journal of Business Research 64 (3), 328-337, 2011 | 10 | 2011 |
Bargaining in securities IN Chaves, F Varas Working Paper, 2020 | 6 | 2020 |
An Empirical Model of Long-Term Contracting with Manipulation J Bertomeu, I Marinovic, RA Miller, F Varas Washington, Stanford, Carnegie Mellon and Duke Universities Working paper, 2017 | 2 | 2017 |