Financial intermediaries and the cross-section of asset returns T Adrian, E Etula, T Muir Journal of Finance, 2014 | 990 | 2014 |
Volatility-Managed portfolios A Moreira, T Muir Journal of Finance, 2017 | 519 | 2017 |
When selling becomes viral: Disruptions in debt markets in the COVID-19 crisis and the Fed’s response V Haddad, A Moreira, T Muir The Review of Financial Studies 34 (11), 5309-5351, 2021 | 398 | 2021 |
How credit cycles across a financial crisis A Krishnamurthy, T Muir National Bureau of Economic Research, 2017 | 360* | 2017 |
Financial crises and risk premia T Muir Quarterly Journal of Economics, 2017 | 255* | 2017 |
Aggregate external financing and savings waves AL Eisfeldt, T Muir Journal of Monetary Economics 84, 116-133, 2016 | 211* | 2016 |
Do intermediaries matter for aggregate asset prices? V Haddad, T Muir The Journal of Finance 76 (6), 2719-2761, 2021 | 154 | 2021 |
Volatility expectations and returns LA Lochstoer, T Muir The Journal of Finance 77 (2), 1055-1096, 2022 | 85 | 2022 |
Should long-term investors time volatility? A Moreira, T Muir Journal of Financial Economics 131 (3), 507-527, 2019 | 83 | 2019 |
Mobile collateral versus immobile collateral G Gorton, T Laarits, T Muir Journal of Money, Credit and Banking 54 (6), 1673-1703, 2022 | 66 | 2022 |
The cost of capital of the financial sector T Adrian, E Friedman, T Muir Available at SSRN 2706614, 2015 | 47 | 2015 |
Hedging risk factors B Herskovic, A Moreira, T Muir Available at SSRN 3148693, 2019 | 38 | 2019 |
Intermediaries and asset prices: International evidence since 1870 M Baron, T Muir The Review of Financial Studies 35 (5), 2144-2189, 2022 | 32* | 2022 |
Whatever it takes? the impact of conditional policy promises V Haddad, A Moreira, T Muir National Bureau of Economic Research, 2023 | 27* | 2023 |
1930: First modern crisis G Gorton, T Laarits, T Muir Financial History Review 30 (3), 277-307, 2023 | 17* | 2023 |
Bank fragility when depositors are the asset V Haddad, B Hartman-Glaser, T Muir Available at SSRN 4412256, 2023 | 15 | 2023 |
Is Risk Mispriced in a Credit Boom? T Muir | 6 | 2019 |
Diverging Banking Sector: New Facts and Macro Implications S Kundu, T Muir, J Zhang UCLA Working Paper, 2024 | | 2024 |
Diverging Banking Sector: New Facts and Macro Implications J Zhang, T Muir, S Kundu Available at SSRN 4798818, 2024 | | 2024 |
8 Is Risk Mispriced in Credit Booms? T Muir Leveraged, 187-206, 2022 | | 2022 |