Darius Miller
#186,982
Most Influential Person Now
Darius Miller's AcademicInfluence.com Rankings
Darius Millerbusiness Degrees
Business
#1203
World Rank
#1348
Historical Rank
Finance
#159
World Rank
#165
Historical Rank
Download Badge
Business
Darius Miller's Degrees
- PhD Finance University of Chicago
- Masters Finance University of Chicago
Similar Degrees You Can Earn
Why Is Darius Miller Influential?
(Suggest an Edit or Addition)Darius Miller's Published Works
Published Works
- Adrs, Analysts, and Accuracy: Does Cross Listing in the U.S. Improve a Firm's Information Environment and Increase Market Value? (2002) (839)
- Does Auditor Quality and Tenure Matter to Investors? Evidence from the Bond Market (2004) (745)
- The market reaction to international cross-listings:: evidence from Depositary Receipts (1999) (744)
- Concentrated Control, Analyst Following and Valuation: Do Analysts Matter Most When Investors are Protected Least? (2003) (580)
- Market Segmentation and the Cost of Capital in International Equity Markets (2000) (442)
- Analyst forecast characteristics and the cost of debt (2009) (183)
- International Cross-Listing, Firm Performance and Top Management Turnover: A Test of the Bonding Hypothesis (2006) (181)
- The Use of Foreign Currency Derivatives, Corporate Governance, and Firm Value Around the World (2011) (176)
- Shareholder Voting and Corporate Governance Around the World (2015) (169)
- Does Takeover Activity Cause Managerial Discipline? Evidence from International M&A Laws (2014) (139)
- The Costs, Wealth Effects and Determinants of International Capital Raising: Evidence from Public Yankee Bonds (2001) (138)
- Does Corporate International Diversification Destroy Value? Evidence from Cross-Border Mergers and Acquisitions (2003) (127)
- Do Country Level Investor Protections Impact Security Level Contract Design? Evidence from Foreign Bond Covenants (2011) (115)
- The Legal Environment and Corporate Valuation: Evidence from Cross-Border Takeovers (2008) (115)
- Escape from New York: The Market Impact of Loosening Disclosure Requirements (2008) (110)
- Security Fungibility and the Cost of Capital: Evidence from Global Bonds (2005) (98)
- International Cross-listing, Firm Performance and Top Management Turnover : A Test of the Bonding Hypothesis (2006) (82)
- International Cross‐Listing, Firm Performance, and Top Management Turnover: A Test of the Bonding Hypothesis (2006) (67)
- Corporate Governance and the Hedging Premium Around the World (2008) (63)
- Board of Governors of the Federal Reserve System International Finance Discussion Papers Number 945 September 2008 Escape from New York : The market impact of SEC Rule 12 h-6 (2008) (45)
- Uninvited U.S. Investors? Economic Consequences of Involuntary Cross-Listings (2013) (37)
- Why Do U.S. Securities Laws Matter to Non-U.S. Firms? Evidence from Private Class-Action Lawsuits (2012) (29)
- Valuation effects of seasoned global equity offerings (2003) (29)
- Why do foreign firms list in the United States? : an empirical analysis of the depositary receipt market (1996) (21)
- Information Risk and the Cost of Debt Capital (2005) (21)
- The Market for Director Reputation around the World: Evidence from International Shocks to Reputation (2015) (15)
- The Labor Market for Directors and Externalities in Corporate Governance: Evidence from the International Labor Market (2018) (15)
- Uninvited U.S. Investors? Economic Consequences of Involuntary Cross-Listings: ECONOMIC CONSEQUENCES OF INVOLUNTARY CROSS-LISTINGS (2014) (13)
- Explaining top management turnover in private corporations: The role of cross-country legal institutions and capital market forces (2016) (8)
- Financial Protectionism, M&A Activity, and Shareholder Wealth (2018) (8)
- Escape from New York: the market impact of SEC Rule 12h-6 (2008) (8)
- Differences in Agency Problems between Public and Private Firms: Evidence from Top Management Turnover (2014) (7)
- Explaining top management turnover in private corporations: The role of cross-country legal institutions and capital market forces (2019) (3)
- The Decision to Privatize: (2007) (2)
- National Security, Protectionism, and Shareholder Wealth (2018) (2)
- C ORPORATE GOVERNANCE AND THE HEDGING PREM IUM AROUND THE WORLD * (2003) (1)
- Risk Management Research Report - Spring 2010 (2009) (1)
- Discussion of 'Managing Reputation: Evidence from Biographies of Corporate Directors' (2018) (1)
- Do Country-Level Investor Protections Impact Security-Level Contract Design? Evidence from Foreign Bond Covenants (2009) (1)
- Gender Bias in Promotions: Evidence from Financial Institutions (2021) (1)
- U.S. national security and de-globalization (2023) (0)
- ADR, Analyst, and Accuracy (2002) (0)
- The Costs and Determinants of International Capital Raising : Evidence from Yankee and Eurodollar Corporate Bond Offerings (1999) (0)
- 1 Valuation Effects of Seasoned Global Equity Offerings (2002) (0)
- Governance Problems in Privately Held Corporations: Cross-Country Evidence from Top Management Turnover (2015) (0)
This paper list is powered by the following services: