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YALE SOM                                                                                         

Arturo Bris

The Robert B. & Candice J. Haas Associate Professor of Corporate Finance
135 Prospect Street
New Haven, CT, 06511-3729
Phone: 203-432-5079
Fax:      203-432-6970

Research Interests and Activities

Publications

        
Good Stewards, Cheap Talkers, or Family Men? The Impact of Mutual Fund Closures on Fund Managers, Flows, Fees, and Performance, Review of Financial Studies, forthcoming.

(Joint with Huseyin Gulen, Padma Kadiyala, and Raghu Rau)

 

Efficiency and the Bear: Short Sales and Markets Around the World, Journal of Finance, forthcoming.
(Joint with Will Goetzmann and Ning Zhu)

 

The Costs of Bankruptcy, Journal of Finance, forthcoming.
(joint with Ivo Welch and Ning Zhu.)

 

The Optimal Concentration of Creditors, 2005, Journal of Finance 60, 2193-2212.
(Joint with Ivo Welch)

Nominated for the Brattle Prize for the best corporate finance paper in the Journal of Finance.

 

Who Should Pay for Bankruptcy Costs?', 2005, Journal of Legal Studies 34, 295-343.
(joint with
Ivo Welch and Alan Schwartz)        

The Real Effects of the Euro: Evidence from Corporate Investments, 2005, Review of Finance 9, 1-37.
(joint with Yrjö Koskinen and Mattias Nilsson)

 

Corporate Leverage and Currency Crises, Journal of Financial Economics (2002), Vol 63/2,   pp 275-31.
(Joint with Yrjö Koskinen)

Corporate Financial Policies and Performance Around Currency Crises, Journal of Business 77, no. 4.
(Joint with Yrjö Koskinen and Vicente Pons 

Economics of Bankruptcy, in The New Palgrave Dictionary of Economics, 2nd Edition, forthcoming.

Toehold,Takeover Premium, and the Probability of Being Acquired, Journal of Corporate Finance (2002), vol 8/3, pp. 227-253

Bank Capital Requirements and Managerial Self-Interest, Quarterly Review of Economics and Finance (2004), vol 44/1, pp 77-101. (Joint with Salvatore Cantale ) 

Do Insider Trading Laws Work? , European Financial Management (2005), vol 11:3.

Short Sales in Global Perspective, in Frank Fabozzi, ed., The Theory and Practice of Short-Selling, Wiley,   forthcoming.
(Joint with Will Goetzmann and Ning Zhu)

Comment on "Financial Liberalization and Growth: Empirical Evidence" (by Arturo Galindo, Alejandro Micco, and Guillermo Ordoñez), Economia 3 (2002), 253-255

Working Papers

The Value of Investor Protection: Firm Evidence from Cross-Border Mergers, June 2004.

Third-round review, Review of Financial Studies.
(Joint with Christos Cabolis) 
 

The Euro Is Good After All: Evidence from Corporate Valuations, April 2003.

Second-round review, Review of Financial Studies.
(Joint with
Yrjö Koskinen and Mattias Nilsson)

 

The Dynamics of Large and Small Chapter 11 Cases: An Empirical Study, November 2005

Under review, Journal of Law, Economics and Organization.

(Joint with Douglas Baird and Ning Zhu)

 

A Theory of Optimal Expropriation, Mergers and Industry Competition, December 2005

(Joint with Neil Brisley)

 

A Breakdown of the Valuation Effects of International Cross-Listing, November 2005

(Joint with Salvatore Cantale and George Nishiotis)

 

Corporate Governance Convergence Through Cross-Border Mergers: the case of Aventis', September 2004.

(Joint with Christos Cabolis)  

                                                                                                                                                                                    

Adopting Better Corporate Governance:  Evidence from Cross-Border Mergers,, June 2002
(Joint with Christos Cabolis) 

 

      Media Clippings:
     
Yale Daily News, January 15, 2003

      When Do Bidders Purchase a Toehold?, January 2000 

           

My Vitae

Teaching

Corporate Finance MGT 541
Spring 2004

 

 

 

 


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