Milton Harris
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Milton Harris's AcademicInfluence.com Rankings
Milton Harrisbusiness Degrees
Business
#970
World Rank
#1060
Historical Rank
Finance
#118
World Rank
#123
Historical Rank
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Milton Harris's Degrees
- PhD Finance University of Chicago
- Masters Economics University of Chicago
- Bachelors Economics University of Chicago
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(Suggest an Edit or Addition)Milton Harris's Published Works
Published Works
- The Theory of Capital Structure (1991) (4548)
- Differences of Opinion Make a Horse Race (1993) (1637)
- Handbook of the Economics of Finance (2013) (1593)
- Capital Structure and the Informational Role of Debt (1990) (1433)
- A Theory of Board Control and Size (2008) (1065)
- Organization Design (2000) (969)
- A Theory of Wage Dynamics (1982) (965)
- Optimal incentive contracts with imperfect information (1979) (939)
- Corporate control contests and capital structure (1988) (766)
- Corporate governance: Voting rights and majority rules (1988) (690)
- Asymmetric Information, Incentives and Intrafirm Resource Allocation (1982) (487)
- Resource Allocation under Asymmetric Information (1981) (452)
- Some results on incentive contracts with applications to education and employment, health insurance, and law enforcement. (1978) (407)
- Rating Agencies in the Face of Regulation (2012) (391)
- The Capital Budgeting Process: Incentives and Information (1996) (374)
- ALLOCATION MECHANISMS AND THE DESIGN OF AUCTIONS (1981) (324)
- Allocation of Decision-Making Authority (2005) (238)
- A Theory of Monopoly Pricing Schemes with Demand Uncertainty (1981) (235)
- A Sequential Signalling Model of Convertible Debt Call Policy (1985) (203)
- The design of securities (1989) (156)
- Capital Budgeting and Delegation (1997) (142)
- Control of Corporate Decisions: Shareholders vs. Management (2010) (118)
- Financial contracting theory (1993) (98)
- On the Duration of Agreements (1987) (87)
- The Cost of Diversity : The Diversi cation Discount and Ine cient Investment (1997) (68)
- The Role of Games in Security Design (1995) (67)
- Job Matching with Finite Horizon and Risk Aversion (1984) (58)
- Capital budgeting and delegation1We thank Bhagwan Chowdhry, Yaniv Grinstein, an anonymous referee, and seminar participants at Columbia, Duke, Hong Kong University of Science and Technology, Indiana, Tel Aviv, Vanderbilt, and the European Finance Association Meetings (Vienna, 1997).1 (1998) (50)
- Dynamic Economic Analysis (1987) (49)
- Rating Agencies in the Face of Regulation Rating In‡ation and Regulatory Arbitrage (2010) (44)
- Higher Capital Requirements, Safer Banks? Macroprudential Regulation in a Competitive Financial System (2014) (42)
- How to Get Banks to Take Less Risk and Disclose Bad News (2014) (26)
- Macroprudential Bank Capital Regulation in a Competitive Financial System (2015) (26)
- Why Do Firms Sit on Cash?: An Asymmetric Information Approach (2017) (22)
- Allocation Mechanisms, Asymmetric Information and the ‘Revelation Principle’ (1985) (17)
- The System-Wide Effects of Bank Capital Regulation on Credit Supply and Risk-Taking (2015) (14)
- Expectations and Money in a Dynamic Exchange Model (1979) (14)
- The Aggregate Demand for Bank Capital (2020) (13)
- Financial markets and asset pricing (2003) (12)
- Handbook of the Economics of Finance Volume 2B : Financial Markets and Asset Pricing (2013) (11)
- Bank Capital, Risk-Taking, and the Composition of Credit (2017) (8)
- Intellectual Property Contracts: Theory and Evidence from Screenplay Sales (2012) (7)
- Macroprudential Bank Capital Regulation (2015) (7)
- Microeconomic Developments and Macroeconomics (1983) (4)
- Optimal planning under transaction costs: The demand for money and other assets (1976) (4)
- Bank regulation with private-party risk assessments∗ (2013) (3)
- Dynamic aspects of air quality control costs (1977) (3)
- " Resource Allocation under Asymmetric Information " , joint with Milton Harris , Econometrica (1981) (3)
- Contingency Without Moral Hazard : A Theory of Intellectual Property Contracts and Evidence from Screenplay Sales (2011) (2)
- Financial Contracting Theory: Sixth World Congress, Vol. II (1992) (2)
- FELLOW OF THE AMERICAN FINANCE ASSOCIATION FOR 2011 (2011) (2)
- Handbook of the Economics of Finance, Volume 2A (2012) (2)
- On the duration of agreemants (1983) (1)
- Comment on "Pricing a Product Line." (1984) (0)
- Corporate Governance and Managerial Reputational Concerns∗ (2010) (0)
- Author ' s personal copy Rating agencies in the face of regulation (2013) (0)
- Errata: The Theory of Capital Structure (1992) (0)
- Discussion of Models in Managerial Accounting (1982) (0)
- Dynamic Security Design and Corporate Financing In preparation for the Handbook of Economics and Finance , Volume 2 (2012) (0)
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