Marco Pagano
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Italian economist
Marco Pagano's AcademicInfluence.com Rankings
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Economics
Why Is Marco Pagano Influential?
(Suggest an Edit or Addition)Marco Pagano's Published Works
Number of citations in a given year to any of this author's works
Total number of citations to an author for the works they published in a given year. This highlights publication of the most important work(s) by the author
Published Works
- Why Do Companies Go Public? An Empirical Analysis (1995) (1954)
- Financial markets and growth: An overview☆ (1993) (1771)
- Can Severe Fiscal Contractions Be Expansionary? Tales of Two Small European Countries (1990) (1419)
- Saving, Growth, and Liquidity Constraints (1994) (965)
- The Political Economy of Corporate Governance (1999) (884)
- The Choice of Stock Ownership Structure: Agency Costs, Monitoring, and the Decision to Go Public (1998) (864)
- The advantage of tying one's hands: EMS discipline and Central Bank credibility (1988) (847)
- Information Sharing in Credit Markets (1993) (836)
- The Geography of Equity Listing; Why Do Companies List Abroad? (2002) (809)
- Information Sharing, Lending and Defaults: Cross-Country Evidence (1999) (747)
- Non-Keynesian Effects of Fiscal Policy Changes: International Evidence and the Swedish Experience (1995) (595)
- Trading Volume and Asset Liquidity (1989) (595)
- Collateral vs. Project Screening: A Model of Lazy Banks (1998) (570)
- Short-Selling Bans Around the World: Evidence from the 2007-09 Crisis (2009) (569)
- Transparency and Liquidity: A Comparison of Auction and Dealer Markets with Informed Trading (1996) (531)
- Courts and Banks: Effects of Judicial Enforcement on Credit Markets (2002) (526)
- Information Sharing and Credit: Firm-Level Evidence from Transition Countries (2007) (497)
- Managers, Workers, and Corporate Control (2002) (477)
- Endogenous Communication among Lenders and Entrepreneurial Incentives (1997) (452)
- Sharing Default Information as a Borrower Discipline Device (1999) (450)
- Consumption and Capital Market Imperfection: An International Comparison (1988) (413)
- The Political Economy of Finance (2001) (354)
- IPO underpricing and after-market liquidity (2006) (327)
- The European Bond Markets Under Emu (2004) (322)
- Endogenous Market Thinness and Stock Price Volatility (1989) (290)
- Financial Market Integration and Economic Growth in the EU (2004) (286)
- Analyse , Compare , and Apply Alternative Indicators and Monitoring Methodologies to Measure the Evolution of Capital Market Integration in the European Union (2002) (255)
- The flotation of companies on the stock market : A coordination failure model (1993) (253)
- Bank Bias in Europe: Effects on Systemic Risk and Growth (2015) (237)
- What Makes Stock Exchanges Succeed? Evidence from Cross-Listing Decisions (2001) (230)
- Bank Exposures and Sovereign Stress Transmission (2016) (225)
- Law and Equity Markets: A Simple Model (1999) (222)
- The Sovereign-Bank Diabolic Loop and Esbies (2016) (215)
- Market Liquidity: Theory, Evidence, and Policy (2013) (207)
- Confidence Crises and Public Debt Management (1989) (203)
- Securitization, Transparency and Liquidity (2008) (197)
- Systemic Risk, Sovereign Yields and Bank Exposures in the Euro Crisis (2014) (196)
- Where is the Market? Evidence from Cross-Listings (2004) (189)
- Legal Determinants of the Return on Equity (1999) (182)
- How Does Liquidity Affect Government Bond Yields (2010) (179)
- Credit Ratings Failures and Policy Options (2009) (169)
- How Does Liquidity Affect Government Bond Yields? (2008) (166)
- Finance and Employment (2012) (163)
- Households' indebtedness and financial fragility (2013) (161)
- Banking Scope and Financial innovation (1997) (160)
- Inheritance Law and Investment in Family Firms (2008) (158)
- Multiple-Bank Lending, Creditor Rights and Information Sharing (2009) (137)
- Seeking Alpha: Excess Risk Taking and Competition for Managerial Talent (2012) (131)
- Disaster Resilience and Asset Prices (2020) (125)
- ESBies: Safety in the Tranches (2016) (122)
- Too late, too sudden: Transition to a low-carbon economy and systemic risk (2016) (120)
- The Geography of Equity Listing: Why Do European Companies List Abroad? (1999) (120)
- Information Sharing in Credit Markets: A Survey (2000) (119)
- Financial market integration, corporate financing and economic growth* Final report (22 November 2002) (2002) (109)
- Financial Market Integration Under EMU (2008) (103)
- Employment and Wage Insurance within Firms: Worldwide Evidence (2015) (102)
- Trading systems in European stock exchanges: current performance and policy options (1990) (95)
- Role and Effects of Credit Information Sharing (2005) (90)
- Shareholder Protection, Stock Market Development, and Politics (2005) (90)
- Auction and dealership markets: What is the difference? (1992) (88)
- Is Europe Overbanked? (2014) (85)
- Optimal debt structure with multiple creditors (1993) (84)
- The COVID-19 Shock and Equity Shortfall: Firm-Level Evidence from Italy (2020) (84)
- Optimal Regulation of Auditing (2007) (83)
- The stock market as a source of capital: Some lessons from initial public offerings in Italy (1996) (71)
- Local Crowding‐Out in China (2020) (67)
- Local Crowding Out in China (2016) (66)
- Information Sharing in Credit Markets: International Evidence (1999) (64)
- Transparency, Tax Pressure and Access to Finance (2012) (59)
- Valutation, Liquidity and Risk in Government Bond Markets (2005) (57)
- Searching for Non-Keynesian Effects of Fiscal Policy (1998) (57)
- ALFRED MARSHALL LECTURE SHAREHOLDER PROTECTION, STOCK MARKET DEVELOPMENT, AND POLITICS (2006) (57)
- Imperfect Competition, Underemployment Equilibria and Fiscal Policy (1990) (57)
- Systemic Risk and Home Bias in the Euro Area (2013) (55)
- Information Sharing in Credit Markets: The European Experience (2000) (55)
- Health and sustainability in post-pandemic economic policies (2020) (52)
- Capital controls and the European Monetary System (1988) (46)
- The Changing Microstructure of European Equity Markets (1998) (44)
- A European Central Bank?: Monetary policy, capital controls and seigniorage in an open economy (1989) (42)
- Searching for Non-Monotonic Effects of Fiscal Policy: New Evidence (2005) (42)
- The Welfare Effects of Liquidity Constraints (1998) (38)
- Defusing default : incentives and institutions (2001) (38)
- Corporate Leverage and Employees' Rights in Bankruptcy (2017) (34)
- Incentives to Innovate and Social Harm: Laissez-Faire, Authorization or Penalties? (2009) (27)
- Labor and Finance (2008) (26)
- Financial markets' liberalisation and the role of banks: Shifting gears: an economic evaluation of the reform of the Paris Bourse (1993) (26)
- The Determinants of Savings: Lessons from Italy (1997) (25)
- Forbearance, Resolution and Deposit Insurance (2012) (25)
- European Safe Bonds ( ESBies ) i The euro ‐ nomics group (2011) (24)
- Corporate Fraud, Governance and Auditing (2008) (21)
- Dually-Traded Italian Equities: London vs. Milan (1991) (21)
- Legal Standards, Enforcement and Corruption (2008) (21)
- Public credit information: a European perspective (2003) (21)
- Financial Disclosure and Market Transparency with Costly Information Processing (2012) (21)
- Restarting European long-term investment finance. (2015) (19)
- Securitization , Disclosure and Liquidity (2008) (19)
- I Teoremi Di Modigliani-Miller: Una Pietra Miliare Della Finanza (The Modigliani-Miller Theorems: A Cornerstone of Finance) (2005) (19)
- Financial markets' liberalisation and the role of banks: Front-running and stock market liquidity (1993) (19)
- Can EFTs Contribute to Systemic Risk? (2019) (18)
- Auction Markets, Dealership Markets and Execution Risk (1990) (18)
- Finance: Economic Lifeblood or Toxin? (2013) (18)
- Personal Saving in Italy (1994) (17)
- Career Risk and Market Discipline in Asset Management (2018) (15)
- Liquidity-Constrained Households in an Italian Cross-Section (1988) (14)
- Allocating Macro-Prudential Powers (2014) (12)
- Gains from Stock Exchange Integration : The Euronext Evidence (2006) (12)
- Loan Guarantees, Bank Lending and Credit Risk Reallocation (2021) (11)
- Short-Selling Bans and Bank Stability (2016) (11)
- Short Selling Bans and Market Liquidity around the World: Evidence from the 2007-09 Crisis (2009) (11)
- A Contribution from the Chair and Vice-Chairs of the Advisory Scientific Committee to the Discussion on the European Commission's Banking Union Proposals (2012) (10)
- Lessons from the European Financial Crisis (2014) (9)
- Author Correction: Health and sustainability in post-pandemic economic policies (2020) (8)
- Credit ratings failures : causes and policy options (2009) (8)
- Breaking the Sovereign-Bank Diabolic Loop: A Case for ESBies (2015) (8)
- Market Size, the Informational Content of Stock Prices and Risk: A Multiasset Model and Some Evidence (1997) (8)
- Accounting Transparency, Tax Pressure and Access to Finance (2010) (8)
- Government Incentives and Household Saving in Italy (1994) (7)
- Risk Sharing within the Firm: A Primer (2020) (7)
- The impact of fiscal policy and inflation on national saving: the Italian case (2013) (7)
- The Sovereign-Bank Nexus and the Case for European Safe Bonds (2018) (6)
- Ensuring Willingness to Repay in Paraguay (2002) (6)
- Economic Policy Issue 10 Erratum: Trading Systems in European Stock Exchanges: Current Performance and Policy Options (1991) (6)
- Market size and asset liquidity in stock exchange economies (1985) (6)
- 12 Managers , Workers , and Corporate Control (6)
- 2011 Review of Finance - Spängler IQAM Best Paper Prize (2011) (6)
- Dealing with Financial Crises: How Much Help from Research? (2014) (5)
- THE EUROPEAN BOND MARKETS (2004) (5)
- Special issue on household finance Preface (2011) (4)
- Norm Flexibility and Private Initiative (2006) (4)
- More versus Closer Friends: How Gender Shapes Social Networks and their Effects on Performance (2013) (4)
- Emergency Measures for Equity Trading: The Case Against Short-Selling Bans and Stock Exchange Shutdowns (2020) (4)
- Relative price variability and inflation: The Italian evidence (1985) (4)
- New Research in Corporate Finance and Banking (2002) (4)
- Deutsche Bank Prize in Financial Economics 2010 Review of Finance Best Paper Award (2010) (4)
- COVID-19 and Corporate Finance (2022) (4)
- Pandemic Crisis and Financial Stability (2020) (3)
- Promotions and Training: Do Competitive Firms set the Bar too High? (2019) (3)
- The COVID-19 Pandemic and Business Law: A Series of Posts from the Oxford Business Law Blog (2020) (2)
- Households' Portfolio Diversification (2010) (2)
- Special issue on banking Preface (2007) (2)
- Financial Disclosure with Costly Information Processing (2012) (2)
- Special issue on corporate governance Preface (2007) (2)
- The Consequences of the Single Supervisory Mechanism for Europe's Macro-Prudential Policy Framework (2013) (2)
- Financial Disclosure with Limited Processing Capacity (2010) (1)
- Financial Integration in Europe (2012) (1)
- Careers in Finance (2020) (1)
- Incentive Problems in Financial Conglomerates ∗ (2003) (1)
- The impact of fiscal policy and inflation on national saving. A reply (2013) (1)
- Comment on Berlin and Mester, and Houston and James (1998) (1)
- Financial Stability Amidst the Pandemic Crisis: On Top of the Wave (2021) (1)
- Public debt and private firm funding (2016) (1)
- Optimal Auditing Standards (2004) (1)
- Talent Discovery, Layoff Risk and Unemployment Insurance (2017) (1)
- Special issue on household finance (2011) (1)
- WORKING PAPER NO . 136 Role and Effects of Credit Information Sharing (2005) (1)
- New Research in Financial Markets (2002) (0)
- Advertising Arbitrage Advertising Arbitrage * We Are Grateful To (2014) (0)
- Tilburg University Distance , Lending Relationships , and Competition Degryse (2018) (0)
- An Introduction to Finance and Investment (2018) (0)
- Comment on L. Guiso, T. Jappelli and D. Terlizzese, "Saving and Capital Market Imperfections: The Italian Experience" and E. Koskela and M. Virén, "Inflation, Capital Markets and Household Saving in the Nordic Countries" (1992) (0)
- 12 Law and Equity Markets : A Simple Model (0)
- Liquidity and Asset Prices (2013) (0)
- Winners of the Best Paper Competition in Corporate Governance (2009) (0)
- Corporate Governance, Favoritism and Careers (2022) (0)
- The Changing European Financial Landscape (CEPR/European Summer Institute 1998) (1999) (0)
- Headscarves and Female Employment (2017) (0)
- NO . 180 Households ’ Portfolio Diversification (2007) (0)
- Working Paper 15 / 09 December 2009 Inheritance Law and Investment in Family Firms (2012) (0)
- The Geography of Investor Attention (2021) (0)
- Contributors (2007) (0)
- Change of guard among coeditors (2009) (0)
- Liquidity, Price Discovery, and Corporate Policies (2013) (0)
- Order Flow, Liquidity, and Securities Price Dynamics (2013) (0)
- NO . 208 Households ’ Indebtedness and Financial Fragility (2010) (0)
- The essentials of federalism (2006) (0)
- Tilburg University Distance and competition Degryse (2004) (0)
- Financial Regulation: Lessons from the European financial crisis (2015) (0)
- 7 TH ECB / CEPR LABOUR MARKET WORKSHOP " UNEMPLOYMENT DEVELOPMENTS AFTER THE CRISIS " Frankfurt am Main , European Central Bank 16-17 December 2010 Finance and employment (2010) (0)
- BID-ASK SPREADS UNDER AUCTION AND SPECIALIST MARKET STRUCTURES: EVIDENCE FROM THE ITALIAN BOURSE (2006) (0)
- Appendix Corporate Leverage and Employees ’ Rights in Bankruptcy (2019) (0)
- European financial integration: Discussion (1991) (0)
- Working Paper 12 / 09 September 2009 Credit Ratings Failures and Policy Options (2012) (0)
- Estimating the Determinants of Market Illiquidity (2013) (0)
- Trade Size and Market Depth (2013) (0)
- Investment Dynamics and Financial Market Imperfections1 (2004) (0)
- Comment [Saving and Capital Market Imperfections: The Italian Experience] [Inflation, Capital Markets and Household Saving in the Nordic Countries] (1992) (0)
- WORKING PAPER NO . 149 Shareholder Protection , Stock Market Development , and Politics (2005) (0)
- JAQ of All Trades: Job Mismatch, Firm Productivity and Managerial Quality (2022) (0)
- WORKING PAPER NO . 210 Securitization , Transparency and Liquidity (2012) (0)
- Comment on 'Monetary Policy and Financial Stability: What Role in Prevention and Recovery?' (by Claudio Borio) (2014) (0)
- Trading Mechanics and Market Structure (2013) (0)
- Recent international evidence highlights the importance of family-owned firms : 45 percent of publicly listed international firms are family owned ( (2010) (0)
- Limit Order Book Markets (2013) (0)
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What Schools Are Affiliated With Marco Pagano?
Marco Pagano is affiliated with the following schools:
