Alan Marcus
#27,146
Most Influential Person Now
American economist
Alan Marcus's AcademicInfluence.com Rankings
Alan Marcuseconomics Degrees
Economics
#1475
World Rank
#1700
Historical Rank
#650
USA Rank
Monetary Economics
#82
World Rank
#85
Historical Rank
#28
USA Rank
Macroeconomics
#383
World Rank
#411
Historical Rank
#120
USA Rank
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Economics
Why Is Alan Marcus Influential?
(Suggest an Edit or Addition)According to Wikipedia, Alan J. Marcus is an American economist, and the first recipient of the Mario J. Gabelli Endowed Professorship at the Carroll School of Management at Boston College, where he currently teaches. He is an author of several textbooks widely used in finance and MBA programs internationally, including Fundamentals of Corporate Finance with Stewart Myers and Richard A. Brealey. Marcus serves on the advisory board of the CFA Institute.
Alan Marcus's Published Works
Published Works
- Opaque financial reports, R2, and crash risk (2009) (1455)
- Corporate Governance and Pay-for-Performance: The Impact of Earnings Management (2008) (759)
- The Impact of Institutional Ownership on Corporate Operating Performance (2003) (698)
- Deregulation and bank financial policy (1984) (671)
- The Valuation of FDIC Deposit Insurance Using Option-pricing Estimates (1984) (374)
- Essentials of Investments (1992) (279)
- What's special about the specialist? (1992) (256)
- Defined Benefit Versus Defined Contribution Pension Plans: What are the Real Tradeoffs? (1985) (198)
- How Big is the Tax Advantage to Debt? (1984) (175)
- Bank Earnings Management and Tail Risk during the Financial Crisis (2012) (168)
- The Bank Capital Decision: A Time Series-Cross Section Analysis (1983) (164)
- Earnings Management, Corporate Governance, and True Financial Performance (2006) (159)
- Investments and Portfolio Management (2010) (145)
- Geometric or Arithmetic Mean: A Reconsideration (2003) (112)
- PROJECT VALUATION UNDER UNCERTAINTY: WHEN DOES DCF FAIL? (1992) (103)
- Valuing Employee Stock Options (1994) (84)
- Corporate Pension Policy and the Value of Pbgc Insurance (1983) (76)
- Minimum Wages and Teenagers' Enrollment-Employment Outcomes: A Multinomial Logit Model (1982) (66)
- Money demand during hyperinflation (1979) (63)
- The quality option in the treasury bond futures market: An empirical assessment (1986) (63)
- The P/E Multiple and Market Volatility (1996) (62)
- Risk Sharing and the Theory of the Firm (1982) (58)
- Opaque Financial Reports, R-Square, and Crash Risk (2008) (57)
- Efficient Asset Portfolios and the Theory of Normal Backwardation: A Comment (1984) (55)
- Relative Sentiment and Stock Returns (2010) (54)
- Valuation and Optimal Exercise of the Wild Card Option in the Treasury Bond Futures Market (1985) (51)
- Optimal Estimation of the Risk Premium for the Long Run and Asset Allocation: A Case of Compounded Estimation Risk (2005) (49)
- Pension Plan Integration as Insurance Against Social Security Risk (1984) (46)
- Futures Markets and Production Decisions (1984) (45)
- Asset Allocation Models and Market Volatility (2001) (44)
- Opacity, Crash Risk, and the Option Smirk Curve (2010) (38)
- The Magellan Fund and market efficiency (1990) (36)
- Does Sentiment Explain Closed-end Fund Discounts? Evidence from Bond Funds (1993) (34)
- The Valuation of a Random Number of Put Options: An Application to Agricultural Price Supports (1986) (32)
- Study Guide for use with Fundamentals of Corporate Finance (1998) (32)
- A model of strategic default of sovereign debt (1987) (30)
- Conversion factor risk and hedging in the treasury‐bond futures market (1984) (28)
- Sector dominance ratio analysis of financial markets (2015) (27)
- Spinoff/Terminations and the Value of Pension Insurance (1985) (27)
- Peer Effects in Corporate Governance Practices: Evidence from Universal Demand Laws (2017) (23)
- Information, motivation, and control in decentralized planning: the case of discretionary managerial behavior (1979) (22)
- An Equilibrium Theory of Excess Volatility and Mean Reversion in Stock Market Prices (1989) (20)
- Excess pay and deficient performance (2016) (16)
- Fundamentals of Corporate Finance 7th Edition (2012) (15)
- Dividends, maturity, and acquisitions: Evidence from a sample of bank IPOs (2011) (15)
- Waiting for Guidance: Disclosure Noise, Verification Delay, and the Value-Relevance of Good-News versus Bad-News Management Earnings Forecasts (2017) (14)
- Delivery Options and Treasury–Bond Futures Hedge Ratios (2005) (13)
- The Delivery Option on Forward Contracts: A Note (1988) (12)
- Riding the Yield Curve: Reprise (1990) (12)
- Hedging Corporate Bond Portfolios Across the Business Cycle (1996) (12)
- Riding the Yield Curve (1992) (10)
- AN EVALUATION OF THE EFFECTIVENESS OF CLASSROOM AND ON-THE-JOB TRAINING (1984) (10)
- Riding the Bill Curve (1999) (10)
- Delivery Options and Convexity in Treasury Bond and Note Futures (2008) (9)
- Personnel Substitution and Navy Aviation Readiness. (1982) (8)
- Dividend Signaling: Evidence from Bank IPOs (2008) (8)
- Quotas as options: Valuation and equilibrium implications (1988) (7)
- The Relationship between Accounting Measures and Prospective Probabilities of Insolvency: An Application to the Banking Industry (1984) (7)
- Investments : Asia global edition (2013) (7)
- Essentials of Investment -8/E. (2010) (6)
- The Valuation of Security Analysis (1986) (6)
- CEOs versus the board: Implications of strained relations for stock liquidity (2020) (6)
- Older Workers in the Market for Part-Time Employment. Appendices to PP 396. (1983) (6)
- Opacity, Crash Risk and Option Smirk Curves (2010) (5)
- Principles of Investments (2009) (5)
- Optimal Forecasts of Long-Term Returns: Geometric, Arithmetic, or Other Means (2002) (4)
- Alternative Enlistment Standards (1981) (4)
- ENLISTED CREW TURNOVER AND SHIP READINESS: REVIEW, REFINEMENTS, AND RECOMMENDATIONS (1989) (4)
- Hedging Foreign Project Risk (1994) (4)
- The Use of Flight Simulators in Measuring and Improving Training Effectiveness (1986) (4)
- Efficient risk sharing, non-marketable labor income and fixed-wage contracts (1984) (3)
- MEASURING THE PRODUCTIVITY OF FIRST-TERM NAVY ENLISTEES (1984) (3)
- Early Exercise and the Valuation of Employee Stock Options (1999) (3)
- Depreciation Rules and Rate Shock in Rate of Return Regulation (1986) (3)
- Improving Internal Navy Allocation Decisions: The Case of Military Manpower (1996) (3)
- How OPTEMPO, Crew Turnover, and Material Condition Affect the Training Readiness of Surface Combatants (1989) (3)
- Solutions Manual for Use with Essentials of Investments (2007) (2)
- Does a Mutual Fund’s Exposure to Pollution Influence Its Environmental Engagements? (2021) (1)
- A-School Attrition: Reasons and Results (1988) (1)
- FORTHCOMING: FINANCIAL ANALYSTS JOURNAL (2003) (1)
- SUMMARY REPORT: MANNING THE 600-SHIP NAVY (1985) (1)
- Retention and Career Force Quality (1984) (1)
- Housing Benefits: Baseline Analysis. (1997) (1)
- Veteran Status as a Screening Device: Comment. (1982) (1)
- Bank stocks, risk factors, and tail behavior (2020) (1)
- NAVY MANPOWER/ PERSONNEL ISSUES IN THE 1980s (Progress in 1982 and plans for the future) (1983) (1)
- Advances in the Measurement of Personnel Productivity (1982) (1)
- Student Problem Manual for use with Investments (2006) (1)
- The Role of Student Quality in A-School Training Attrition: Trends in Selected Ratings (1989) (0)
- Student Solutions Manual to accompany Investments (2004) (0)
- La ingeniería financiera y el director financiero de la empresa. (1993) (0)
- Student solutions manual for use with Investments (2005) (0)
- program in Financial Markets and Monetary Economics. Any opinions (1986) (0)
- Financial health and the valuation of corporate pension plans (2020) (0)
- Navy Enlisted Classification (NEC) Reporting to the Enlisted Master Record (EMR) File (1988) (0)
- Investment : Investasi -6/E. (2007) (0)
- An Analysis of Navy Enlisted Tour Lengths (1988) (0)
- Investments , -11/E (2019) (0)
- Manning the 600-Ship Navy. (1985) (0)
- Hospital Corpsman A- and C-School Success: The Effect of Entry Standards. Revision (1989) (0)
- Are “ Market Neutral ” Hedge Funds Really Market Neutral ? (2009) (0)
- Investment -8/E (2010) (0)
- Solutions Manual for Investments (2001) (0)
- Trends in Navy Enlisted Classification (NEC) Inventories and Their Utilization (1988) (0)
- Greek-based Bond Factors (2021) (0)
- Analysis of Submarine Tender Manning Issues (1988) (0)
- Market Linkage of Indian Stock Market with Select Stock Markets (2019) (0)
- Title Sector dominance ratio analysis of financial markets (2015) (0)
- An Analysis of Organizational and Funding Alternatives for the Armed Force Institute of Pathology (2001) (0)
- Final Report of the Manpower Availability Study (1981) (0)
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