Andrew Metrick
#37,160
Most Influential Person Now
American economist
Andrew Metrick's AcademicInfluence.com Rankings
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Economics
Andrew Metrick's Degrees
- PhD Finance Stanford University
Why Is Andrew Metrick Influential?
(Suggest an Edit or Addition)According to Wikipedia, Andrew Metrick is an American economist who is the current Janet L. Yellen Professor of Finance and Management at the Yale School of Management. His research has touched on topics including game theory, venture capital and private equity, and most recently on financial stability. He is also the director of the Yale Program on Financial Stability.
Andrew Metrick's Published Works
Published Works
- Corporate Governance and Equity Prices (2001) (5534)
- Institutional Investors and Equity Prices (1998) (2010)
- Securitized Banking and the Run on Repo (2009) (1657)
- Extreme Governance: An Analysis of Dual-Class Firms in the United States (2010) (561)
- The Economics of Private Equity Funds (2009) (557)
- Estimating the Returns to Insider Trading: A Performance-Evaluation Perspective (1999) (543)
- Regulating the Shadow Banking System (2010) (488)
- Estimating Risk Preferences from Deductible Choice (2007) (413)
- Defined Contribution Pensions: Plan Rules, Participant Decisions, and the Path of Least Resistance (2002) (367)
- Large Blocks of Stock: Prevalence, Size, and Measurement (2004) (322)
- Reinforcement Learning and Savings Behavior (2007) (305)
- Venture Capital and the Finance of Innovation (2006) (302)
- Should Investors Avoid All Actively Managed Mutual Funds? A Study in Bayesian Performance Evaluation (2001) (278)
- Saving or Retirement on the Path of Least Resistance (2004) (259)
- Conflicts and Choices in Biodiversity Preservation (1998) (248)
- Optimal Defaults (2003) (248)
- The Safe-Asset Share (2012) (235)
- A Natural Experiment in "Jeopardy!" (1995) (201)
- Patterns of Behavior in Biodiversity Preservation (1994) (195)
- Securitization (2011) (190)
- Venture Capital and Other Private Equity: A Survey (2010) (178)
- Patterns of Behavior in Endangered Species Preservation (2007) (142)
- How does the Internet affect trading? Evidence from investor behavior in 401(k) plans $ (2002) (139)
- Getting up to Speed on the Financial Crisis: A One-Weekend-Reader's Guide (2012) (139)
- Haircuts (2009) (134)
- Performance Evaluation with Transactions Data: the Stock Selection of Investment Newsletters (1998) (99)
- Incentives vs. Control: An Analysis of U.S. Dual-Class Companies (2004) (85)
- The Financial Crisis of 2007-2009 (2012) (60)
- How Are Large Institutions Different from Other Investors? Why Do These Differences Matter? (1998) (59)
- The Federal Reserve and Panic Prevention: The Roles of Financial Regulation and Lender of Last Resort (2013) (58)
- Extreme Governance: An Analysis of Dual-Class Companies in the United States (2008) (50)
- Does the Internet Increase Trading? Evidence from Investor Behavior in 401(K) Plans (2000) (50)
- Fictitious play in 2×2 games: A geometric proof of convergence (1994) (46)
- The Lehman Brothers Bankruptcy A: Overview (2014) (37)
- Chapter 1 - Securitization* (2013) (30)
- Price Versus Quantity: Market-Clearing Mechanisms When Consumers are Uncertain about Quality (1998) (29)
- March madness? Strategic behavior in NCAA basketball tournament betting pools (1996) (28)
- Regulating the Shadow Banking System [with Comments and Discussion] (2011) (27)
- Pension Design and Structure New Lessons from Behavioral Finance (2004) (26)
- Who Ran on Repo? (2012) (21)
- Regulatory Reform (2018) (21)
- Inertia and Overwithholding : Explaining the Prevalence of Income Tax Refunds (2011) (21)
- VENTURE CAPITAL & THE FINANCE OF INNOVATION SECOND (2010) (21)
- The Flight from Maturity (2014) (20)
- Why Do Firms Pay for Bond Ratings When They Can Get Them for Free (2015) (15)
- Price Versus Quantity: Market Clearing Mechanisms When Sellers Differ in Quality (1996) (15)
- Consumption-Wealth Comovement of the Wrong Sign (2004) (12)
- A Model of Private Equity Fund Compensation (2011) (12)
- The Lehman Brothers Bankruptcy D: The Role of Ernst & Young (2014) (11)
- The Lehman Brothers Bankruptcy G: The Special Case of Derivatives (2014) (11)
- The run on repo and the Fed’s response (2020) (10)
- Basel III B: Basel III Overview (2014) (9)
- European Banking Union B: The Single Resolution Mechanism (2014) (9)
- The Lehman Brothers Bankruptcy H: The Global Contagion (2015) (8)
- Are the Hundred-Million-Dollar Managers Just Like Everyone Else? An Analysis of the Stock Ownership of Large Institutions (1998) (6)
- An Econometric Chronology of the Financial Crisis of 2007-2008 (2015) (6)
- Ireland and Iceland in Crisis D: Similarities and Differences (2014) (6)
- Congruent Financial Regulation (2021) (5)
- The Run on Repo and the Fed&Apos;S Response (2018) (5)
- The Run on Repo and the Fed's Response (2018) (5)
- Ten Years after the Financial Crisis: A Conversation with Timothy Geithner (2018) (5)
- European Banking Union A: The Single Supervisory Mechanism (2014) (5)
- Irreversible Investment and Strategic Interaction (1997) (4)
- JPMorgan Chase London Whale B: Derivatives Valuation (2014) (4)
- The Lehman Brothers Bankruptcy B: Risk Limits and Stress Tests (2014) (4)
- European Banking Union C: Cross-Border Resolution–Fortis Group (2015) (4)
- European Banking Union D: Cross-Border Resolution — Dexia Group (2014) (4)
- JPMorgan Chase London Whale D: Risk Management Practices (2014) (4)
- The Lehman Brothers Bankruptcy C: Managing the Balance Sheet Through the Use of Repo 105 (2014) (4)
- The Equity Performance of Investment Newsletters (1997) (3)
- The Lehman Brothers Bankruptcy F: Introduction to the ISDA Master Agreement (2014) (3)
- Does Financing Have a Real Effect on Drug Development (2006) (3)
- LABOR MARKET COMPETITOR NETWORK AND THE TRANSMISSION OF SHOCKS* (2018) (3)
- Basel III C: Internal Risk Models (2014) (3)
- JPMorgan Chase London Whale G: Hedging versus Proprietary Trading (2014) (2)
- JPMorgan Chase London Whale F: Required Securities Disclosures (2014) (2)
- Do Financial Constraints Have a Real Effect on Pharmaceutical and Biotech Investment (2009) (2)
- Ireland and Iceland in Crisis C: Iceland's Landsbanki Icesave (2014) (2)
- The Lehman Brothers Bankruptcy E: The Effect on Lehman's U.S. Broker-Dealer (2014) (2)
- Protecting Endangered Species in the United States: DEMES: Database on the Economics and Management of Endangered Species (2001) (2)
- Stress Tests and Policy (2019) (2)
- Ireland and Iceland in Crisis A: Increasing Risk in Ireland (2014) (2)
- JPMorgan Chase London Whale E: Supervisory Oversight (2014) (2)
- JPMorgan Chase London Whale Z: Background & Overview (2014) (2)
- JPMorgan Chase London Whale C: Risk Limits, Metrics, and Models (2014) (2)
- JPMorgan Chase London Whale A: Risky Business (2014) (2)
- Banking-Crisis Interventions, 1257 - 2019 (2021) (2)
- Basel III A: Regulatory History (2015) (2)
- The Best Venture Capitalists (2010) (1)
- Internal Risk Models (2014) (1)
- OPTIMAL DEFAULTS AND ACTIVE DECISIONS Online Appendix (2008) (1)
- Basel III D: Swiss Finish to Basel III (2014) (1)
- Bank Debt Guarantee Programs (2020) (1)
- Basel III G: Shadow Banking and Project Finance (2014) (1)
- JPMorgan Chase London Whale H: Cross-Border Regulation (2014) (1)
- Introduction to the ISDA Master Agreement (2014) (1)
- European Central Bank Tools and Policy Actions A: Open Market Operations, Collateral Expansion and Standing Facilities (2015) (1)
- The Federal Reserve's Financial Crisis Response D: Commercial Paper Market Facilities (2016) (1)
- The Federal Reserve's Financial Crisis Response A: Lending & Credit Programs for Depository Institutions (2016) (1)
- Reputation and Contractual Flexibility: Evidence from Venture Capital Distribution Pricing Policy (2009) (1)
- European Central Bank Tools and Policy Actions B: Asset Purchase Programs (2015) (1)
- Fighting a financial crisis conference (2019) (1)
- The Rescue of Fannie Mae and Freddie Mac – Module Z: Overview (2021) (1)
- Lessons Learned: Ray Dalio (2019) (0)
- Required Securities Disclosures (2014) (0)
- Hedging Versus Proprietary Trading (2014) (0)
- Theory Notes to Accompany Active Decisions (2003) (0)
- Editors' Summary (2011) (0)
- The Federal Reserve's Financial Crisis Response C: Providing US Dollars to Foreign Central Banks (2016) (0)
- The Federal Reserve's Financial Crisis Response B: Lending & Credit Programs for Primary Dealers (2016) (0)
- Guarantees and Capital Infusions in Response to Financial Crises C: U.S. 2009 Stress Tests (2015) (0)
- The Rodney L . White Center for Financial Research Institutional Investors and Equity Prices (1999) (0)
- Cross-Border Resolution-Fortis Group (2014) (0)
- The Federal Reserve's Financial Crisis Response E: The Term Asset-Backed Securities Loan Facility (2016) (0)
- Shadow Banking and Project Finance (2014) (0)
- Editors’ Note: Fighting the COVID-19 Pandemic Financial Crisis (2020) (0)
- Risk Management Practices (2014) (0)
- No NEWS CAN BE GOOD NEWS: IRREVERSIBLE INVESTMENT AND STRATEGIC INTERACTION (2009) (0)
- The Role of Ernst & Young (2014) (0)
- Guarantees and Capital Infusions in Response to Financial Crises A: Haircuts and Resolutions (2015) (0)
- Contributing Authors (2004) (0)
- The Rescue of American International Group Module Z: Overview (2021) (0)
- Broad-Based Asset Management Programs (2021) (0)
- On the Valuation of Venture Capital Securities (2008) (0)
- Ireland and Iceland in Crisis B: Decreasing Loan Loss Provisions in Ireland (2014) (0)
- Risk Limits and Stress Tests (2014) (0)
- Restructuring and Forgiveness in Financial Crises B: The Asian Crisis of 1997 (2020) (0)
- Basel III F: Callable Commercial Paper (2014) (0)
- Restructuring and Forgiveness in Financial Crises A: The Mexican Peso Crisis of 1994-1995 (2015) (0)
- Venture Capital and Private Equity Distributions: Pricing Policies and Price Reactions (2007) (0)
- U.S. Guarantees During the Global Financial Crisis (2015) (0)
- Cross-Border Resolution—Dexia Group (2014) (0)
- Market Liquidity Programs: GFC and Before (2020) (0)
- Performance Evaluation in Financial Economics. (Research Summaries) (2002) (0)
- Restructuring and Forgiveness in Financial Crises B: Lessons from the Emerging Markets Crises of the 1990s 2-Asia (2015) (0)
- Cross-Border Regulation (2014) (0)
- Lessons Learned: A Conversation with Paul A. Volcker (2020) (0)
- Guarantees and Capital Infusions in Response to Financial Crises B: U.S. Guarantees During the Global Financial Crisis (2015) (0)
- Synthetic Financing by Prime Brokers (2014) (0)
- Swiss Finish to Basel III (2014) (0)
- Basel III E: Synthetic Financing by Prime Brokers (2014) (0)
- Risk Limits, Metrics, and Models (2014) (0)
- Restructuring and Forgiveness in Financial Crises C: The Swedish Banking Crisis of 1990-1994 (2015) (0)
- The March 2023 Bank Interventions in Long-Run Context – Silicon Valley Bank and Beyond (2023) (0)
- Reinforcement Learning in Investment Behavior (2007) (0)
- Restructuring and Forgiveness in Financial Crises D: The Japanese Financial Crisis of the 1990s (2015) (0)
- Callable Commercial Paper (2014) (0)
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