Over‐the‐counter markets D Duffie, N Gârleanu, LH Pedersen Econometrica 73 (6), 1815-1847, 2005 | 1564 | 2005 |
Demand-based option pricing N Garleanu, LH Pedersen, AM Poteshman The Review of Financial Studies 22 (10), 4259-4299, 2008 | 987 | 2008 |
Risk and valuation of collateralized debt obligations D Duffie, N Garleanu Financial analysts journal 57 (1), 41-59, 2001 | 871 | 2001 |
Securities lending, shorting, and pricing D Duffie, N Garleanu, LH Pedersen Journal of Financial Economics 66 (2-3), 307-339, 2002 | 862 | 2002 |
Margin-based asset pricing and deviations from the law of one price N Garleanu, LH Pedersen The Review of Financial Studies 24 (6), 1980-2022, 2011 | 817 | 2011 |
Valuation in over-the-counter markets D Duffie, N Gârleanu, LH Pedersen The Review of Financial Studies 20 (6), 1865-1900, 2007 | 749 | 2007 |
Dynamic trading with predictable returns and transaction costs N Gârleanu, LH Pedersen The Journal of Finance 68 (6), 2309-2340, 2013 | 644 | 2013 |
Design and renegotiation of debt covenants N Garleanu, J Zwiebel The Review of Financial Studies 22 (2), 749-781, 2009 | 521 | 2009 |
Young, old, conservative, and bold: The implications of heterogeneity and finite lives for asset pricing N Gârleanu, S Panageas Journal of Political Economy 123 (3), 670-685, 2015 | 296 | 2015 |
Liquidity and risk management N Garleanu, LH Pedersen American Economic Review 97 (2), 193-197, 2007 | 286 | 2007 |
Efficiently inefficient markets for assets and asset management N Gârleanu, LH Pedersen The Journal of Finance 73 (4), 1663-1712, 2018 | 276 | 2018 |
Two monetary tools: Interest rates and haircuts A Ashcraft, N Garleanu, LH Pedersen NBER Macroeconomics Annual 25 (1), 143-180, 2011 | 229 | 2011 |
Displacement risk and asset returns N Gârleanu, L Kogan, S Panageas Journal of Financial Economics 105 (3), 491-510, 2012 | 223* | 2012 |
Technological growth and asset pricing N Garleanu, S Panageas, J Yu The Journal of Finance 67 (4), 1265-1292, 2012 | 214 | 2012 |
Portfolio choice and pricing in illiquid markets N Gârleanu Journal of Economic Theory 144 (2), 532-564, 2009 | 180 | 2009 |
Dynamic portfolio choice with frictions N Gârleanu, LH Pedersen Journal of Economic Theory 165, 487-516, 2016 | 173 | 2016 |
Adverse selection and the required return N Gârleanu, LH Pedersen The Review of Financial Studies 17 (3), 643-665, 2004 | 156 | 2004 |
Financial entanglement: A theory of incomplete integration, leverage, crashes, and contagion N Gârleanu, S Panageas, J Yu American Economic Review 105 (7), 1979-2010, 2015 | 79 | 2015 |
Active and passive investing: Understanding Samuelson’s dictum N Gârleanu, LH Pedersen The Review of Asset Pricing Studies 12 (2), 389-446, 2022 | 69* | 2022 |
Impediments to financial trade: Theory and applications N Gârleanu, S Panageas, J Yu The Review of Financial Studies 33 (6), 2697-2727, 2020 | 28* | 2020 |