Gordon Phillips
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Most Influential Person Now
American economist
Gordon Phillips 's AcademicInfluence.com Rankings
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Economics
Gordon Phillips 's Degrees
- PhD Finance Stanford University
- Bachelors Economics University of California, Berkeley
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Why Is Gordon Phillips Influential?
(Suggest an Edit or Addition)According to Wikipedia, Gordon Phillips is an American financial economist, currently at Tuck School of Business, Dartmouth College. He obtained his bachelor's degree at Northwestern University in 1986 and his Ph.D. and M.A. from Harvard University in 1991.
Gordon Phillips 's Published Works
Published Works
- Product Market Synergies and Competition in Mergers and Acquisitions: A Text-Based Analysis (2008) (1147)
- Text-Based Network Industries and Endogenous Product Differentiation (2010) (1103)
- The Market for Corporate Assets: Who Engages in Mergers and Asset Sales and are There Efficiency Gains? (2000) (862)
- How Does Industry Affect Firm Financial Structure? (2005) (764)
- Do Conglomerate Firms Allocate Resources Inefficiently Across Industries? Theory and Evidence (2002) (747)
- Corporate Equity Ownership, Strategic Alliances and Product Market Relationships (1999) (538)
- Increased debt and industry product markets an empirical analysis (1995) (470)
- Product Market Threats, Payouts, and Financial Flexibility (2012) (439)
- Product Market Threats, Payouts, and Financial Flexibility: Product Market Threats, Payouts, and Financial Flexibility (2014) (367)
- Capital Structure and Product Market Behavior: An Examination of Plant Exit and Investment Decisions (1997) (353)
- R&D and the Incentives from Merger and Acquisition Activity (2012) (312)
- Real and Financial Industry Booms and Busts (2008) (312)
- Post-Merger Restructuring and the Boundaries of the Firm (2008) (238)
- Asset Efficiency and Reallocation Decisions of Bankrupt Firms (1998) (228)
- Founders versus Descendants: The Profitability, Efficiency, Growth Characteristics and Financing in Large, Public, Founding-Family-Controlled Firms (1999) (199)
- Why Do Public Firms Issue Private and Public Securities? (2005) (175)
- Capital Structure and Product-Market Rivalry: How Do We Reconcile Theory and Evidence? (1995) (171)
- Private and Public Merger Waves (2010) (170)
- Do Conglomerate Firms Allocate Resources Inefficiently? (1999) (142)
- Real Asset Illiquidity and the Cost of Capital (2012) (140)
- Conglomerate Firms and Internal Capital Markets (2006) (131)
- The Industry Life Cycle, Acquisitions and Investment: Does Firm Organization Matter? (2008) (107)
- The Impact of Bank Credit on Labor Reallocation and Aggregate Industry Productivity (2016) (105)
- To sin or not to sin? Now that's the question (2006) (93)
- Private and Public Merger Waves: Private and Public Merger Waves (2013) (92)
- Conglomerate Firms, Internal Capital Markets and the Theory of the Firm (2013) (92)
- The Industry Life Cycle and Acquisitions and Investment: Does Firm Organization Matter? (2005) (83)
- How Credit Constraints Impact Job Finding Rates, Sorting & Aggregate Output (2016) (68)
- Extending Industry Specialization Through Cross-Border Acquisitions (2016) (56)
- Innovation Activities and Integration through Vertical Acquisitions (2019) (55)
- Why do public firms issue private and public securities (2012) (54)
- CEOs and the Product Market: When Are Powerful CEOs Beneficial? (2017) (52)
- The Impact of Consumer Credit Access on Employment, Earnings and Entrepreneurship (2016) (51)
- Is There an Optimal Industry Financial Structure? (2002) (48)
- Text-Based Industry Momentum (2015) (46)
- Asset Liquidity and the Cost of Capital (2010) (41)
- Information and Normal Backwardation as Determinants of Trading Performance: Evidence From the North Sea Oil Forward Market (1994) (37)
- Increased Debt and Product Market Competition: An Empirical Analysis (1993) (35)
- Can the Unemployed Borrow? Implications for Public Insurance (2020) (34)
- Production and Learning in Teams (2018) (31)
- On Flexibility (2001) (30)
- An Experimental Study of Job Evaluation and Comparable Worth (2001) (27)
- Do Public Firms Respond to Investment Opportunities More than Private Firms? The Impact of Initial Firm Quality (2017) (27)
- Conglomerate Industry Choice and Product Language (2017) (27)
- Public and Private Merger Waves (2009) (27)
- Top Management Incentives and the Pricing of Corporate Public Debt (2006) (24)
- Forthcoming : Review of Financial Studies Financing and New Product Decisions of Private and Publicly Traded Firms (2016) (22)
- WHY DO PUBLIC FIRMS ISSUE PRIVATE AND PUBLIC EQUITY , CONVERTIBLES AND DEBT ? (2005) (20)
- Is There an Optimal Industry Capital Structure ? (2001) (20)
- Financing and New Product Decisions of Private and Publicly Traded Firms (2016) (18)
- Corporate Equity Ownership and Product-Market Relationships (1998) (18)
- Innovation Activities and the Incentives for Vertical Acquisitions and Integration (2017) (18)
- Product Integration and Merger Success (2018) (18)
- Optimal Firm Size and the Growth of Conglomerate and Single-Industry Firms (1998) (18)
- Using Economic Value Added as a Portfolio Separation Criterion (2008) (17)
- The Stock Market, Product Uniqueness, and Comovement of Peer Firms (2012) (17)
- The Impact of Consumer Credit Access on Self-Employment and Entrepreneurship (2020) (17)
- Product Market Uniqueness, Organizational Form and Stock Market Valuations (2014) (16)
- Outsourcing through Purchase Contracts and Firm Capital Structure (2017) (14)
- Does Product Market Competition Influence Analyst Coverage and Analyst Career Success? (2015) (14)
- Social security payments, money supply announcements, and interest rates (1988) (14)
- The Obama effect (2009) (13)
- Scope, Scale and Competition: The 21st Century Firm (2021) (13)
- Housing Attributes Associated with Capital Gain (1984) (13)
- Why Do Public Firms Issue Private and Public Securities? (2005) (12)
- Portfolio Size Revisited (2013) (12)
- The Entrepreneur's Cost of Capital: Incorporating Downside Risk (2014) (11)
- Beta Measures Market Risk Except When It Doesn’t: Regime-Switching Alpha and Errors in Beta (2011) (11)
- Low- (Economic) Volatility Investing (2012) (10)
- R&D and the Market for Acquisitions (2011) (10)
- The Incentives for Vertical Mergers and Vertical Integration (2013) (10)
- Venture Capital Investments and Merger and Acquisition Activity Around the World (2017) (10)
- Dynamic Text-Based Industry Classifications and Endogenous Product Differentiation (2010) (10)
- Sector Rotation with Macroeconomic Factors (2015) (10)
- When are Powerful CEOs Beneficial ? (2015) (10)
- Efficiency of Bankrupt Firms and Industry Conditions: Theory and Evidence (1996) (10)
- Risk as a Discount Rate Determinant in Wrongful Death and Injury Cases (1989) (9)
- Tactical Asset Allocation with Macroeconomic Factors (2014) (9)
- Discussion of A Measure of Competition Based on 10‐K Filings (2013) (9)
- Dynamic Text-Based Industries and Endogenous Product Differentiation (2010) (8)
- Can typical households earn hedge fund returns? An analysis of the Eta® replication approach (2012) (8)
- Conglomerate Industry Choice and Product Differentiation (2011) (8)
- Financing Decisions and Product Introductions of Private and Publicly Traded Firms (2014) (8)
- Low- (Economic) Volatility Optimization (2013) (7)
- Industry Choice and Product Language (2015) (7)
- U.S. Innovation and Chinese Competition for Innovation Production (2019) (7)
- Eta® Analysis of Portfolios: The Economy Matters (2012) (7)
- Outside Purchase Contracts, Human Capital and Firm Capital Structure (2014) (7)
- Financing Decisions of Private and Publicly Traded Firms: Evidence from a Quasi-Natural Experiment (2015) (6)
- Misleading Betas: An Educational Example (2012) (6)
- The Incentives for Vertical Acquisitions and Integration (2014) (6)
- Vertical Acquisitions, Integration and the Boundaries of the Firm (2017) (6)
- Worker Mobility and the Diffusion of Knowledge (2018) (6)
- The New Era? Real and Financial Industry Booms and Busts (2006) (5)
- ESG Investing: A Simple Approach (2016) (5)
- Education and Innovation: The Long Shadow of the Cultural Revolution (2020) (5)
- Knowledge Diffusion in the Workplace ∗ (2018) (4)
- Web Text-based Network Industry Classifications: Preliminary Results (2017) (4)
- Conglomerate Industry Spanning (2011) (4)
- S&P 500 ETFs and Index Funds: Are Fees All There Is to It? (2011) (3)
- Growing Out of Trouble ? Managerial Responses to Risk of Corporate Liability (2009) (3)
- Four Leading Economic Confidence Measures: Who's Optimism Matters? (2003) (3)
- Top Management Incentives and the Pricing of (2006) (3)
- Finding The Beta For A Portfolio Isn't Obvious: An Educational Example (2018) (3)
- Outsourcing Supply Contracts, Human Capital and Firm Capital Structure (2014) (2)
- Outsourcing Supply Contracts, Human Capital and Firm Financing Decisions (2013) (2)
- Are U.S. growth and value stocks similarly integrated with the world markets? A test across business cycles (2016) (2)
- Why Do Public Firms Issue Public and Private Equity , Convertibles and Debt ? 1 (2004) (2)
- Merger Integration and Merger Success (2016) (2)
- An Overview of Fiduciary Standards and Suitability for Financial Planning Students. (2015) (2)
- A Hedonic Regression Model for Internet Domain Name Valuation (2003) (2)
- PRICE‐PARITY ADJUSTMENTS SHOULDN'T BE A TRADE SECRET: STATE‐LEVEL PRICE PARITY AND ASSESSMENT OF COVENANTS NOT TO COMPETE ENFORCEABILITY (2020) (2)
- Does Industry Competition Influence Analyst Coverage Decisions and Career Outcomes? (2022) (2)
- Statistical Analysis Of A Class: Monte Carlo And Multiple Imputation Spreadsheet Methods For Estimation And Extrapolation (2017) (2)
- An Empirical Test of the Comey Effect on the 2016 Presidential Election (2019) (2)
- Extending Comparative Advantage Through Cross-Border Acquisitions (2014) (2)
- Why Downside Beta Is Better: An Educational Example. (2013) (2)
- U.S. - China Innovation Competition (2021) (2)
- ETP at Work: An Evaluation of 1995-96 ETP Projects. (2000) (2)
- Risk-Adjusted Performance of the Largest Active ETFs (2017) (2)
- Feature Selection Methods For Understanding Business Competitor Relationships (2018) (2)
- The Persistence Of Traditional Gender Stereotypes: Evidence From The Distribution Of Academic Honors At A Female-Majority University (2010) (2)
- Are Public Firms Really Myopic? Evidence from Matching IPO Firms at Birth (2020) (2)
- The Role of Structured-On-Site-Training in ETP. Final Report. (2002) (1)
- Does Industry Competition Influence Analyst-level Coverage Decisions and Career Outcomes? (2020) (1)
- Revise and resubmit at the RFS How Does Industry Affect Firm Financial Structure ? (2003) (1)
- Interpreting Bivariate Regression Coefficients: Going Beyond The Average (2010) (1)
- Neighbourhood Effects and Asset Allocation (2010) (1)
- When “Dartboard Investing,” It Helps to Pick the Right Dartboard: A Comparison of Randomly Selected Stock and Fund Portfolios (2011) (1)
- Training That Makes a Difference: ETP's Impact on Trainees, Companies and the State's Economy. (2000) (1)
- Using Product Text to Capture Vertical Integration and Firm Boundaries (2017) (1)
- The Impact of Consumer Credit Constraints on Earnings, Sorting, and Job Finding Rates of Displaced Workers (2015) (1)
- Rent Seeking and Insurance Education: An Empirical Test (1987) (1)
- An experimental study of comparable worth (1989) (1)
- Product Market Competition and Analyst Coverage Decisions (2020) (1)
- Product Market Threats and Performance-Sensitive Debt∗ (2018) (1)
- Scope, Scale and Concentration: The 21st Century Firm (2022) (0)
- Intellectual Property Protection Lost and Competition: An Examination Using Machine Learning (2022) (0)
- PREDICTING RETURNS FOR GROWTH AND VALUE STOCKS: A FORECAST ASSESSMENT APPROACH USING GLOBAL ASSET PRICING MODELS (2020) (0)
- Market Value Added as an Investment Selection Tool: A Portfolio Separation Test (2017) (0)
- Mergers , Restructuring and the Boundaries of the Firm (2008) (0)
- Issues with Asset Class-Based Portfolio Construction: An Analysis of Mutual Fund Characteristics (2015) (0)
- Internet Appendix for “ Using Product Text to Capture Vertical Integration and Firm Boundaries ” ( Not for publication ) (2017) (0)
- Asset Attribution Stability And Portfolio Construction: An Educational Example (2014) (0)
- Risk-Adjusted Private Equity Performance Using Individual Portfolio Company Outcomes (2019) (0)
- The U.S. “2017 Tax Cuts & Jobs Act” introduces a significant data error in corporate net cash flow (2019) (0)
- Understanding Intra and Inter-Industry Heterogeneity (2018) (0)
- NBER WORKING PAPER SERIES CONGLOMERATE INDUSTRY CHOICE AND PRODUCT DI ̇FFERENTIATION (2011) (0)
- Improved Margin Of Error Estimates For Proportions In Business: An Educational Example (2015) (0)
- ETP's Impact on Trainees, Companies and California's Economy (2012) (0)
- Neighbourhood Effects and Asset Allocation (2010) (0)
- Venture Capital Investments, Merger Activity, and Competition Laws around the World∗ (2021) (0)
- Portfolio Optimization Strategy for Concentrated Portfolios: Models and Time Horizons (2018) (0)
- What's Good in Theory May Be Flawed in Practice: Potential Legal Consequences of Poor Implementation of a Theoretical Sample (2012) (0)
- A Optimal Timing of Integration As A Real Option (2017) (0)
- The Effects of Going Public on Firm Performance and Commercialization Strategy: Evidence from International IPOs (2021) (0)
- Raising Cash under Duress and the Role of Cash Value Life Insurance: An Educational Example. (2018) (0)
- Trading Performance in Forward Markets: A Micro-Data Test of Normal Backwardation (1991) (0)
- Hedging and Competition (2021) (0)
- Internet Access and U.S. - China Innovation Competition (2020) (0)
- Internet Appendix for Extending Industry Specialization and Intangibles through Cross-Border Acquisitions (2015) (0)
- Small Firm Financing Frictions: How Salient are they and what are their Real Effects? Review and Perspectives for New Research (2022) (0)
- R&D and Merger and Acquisition Activity (2011) (0)
- Internet Appendix for “Innovation Activities and Integration through Vertical Acquisitions” (2018) (0)
- Extending Industry Specialization, Intangibles, and Cross-Border Acquisitions (2015) (0)
- How Does Credit Access Affect Job-Search Outcomes and Sorting? (2020) (0)
- Text-Based Product Characteristics, Competition and Dividends (2010) (0)
- NBER WORKING PAPER SERIES GOVERNING MISVALUED FIRMS (2013) (0)
- Appendix : Text-Based Industry Momentum (2017) (0)
- Knowledge Diffusion Within and Across Firms (2017) (0)
- An Introduction To Cost-Of-Living Adjustments In Public Retirement Plans: Details Matter (2016) (0)
- Filling the Private Firm Void: Using Representation Learning to Identify Competitor Relationships Between Businesses (2022) (0)
- Product Markets, Competition and Corporate Finance: A Review and Directions for Future Research (2022) (0)
- Do IPO Firms Become Myopic? (2022) (0)
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