Patrick Luke Bolton
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Economics
Patrick Luke Bolton's Degrees
- PhD Economics Princeton University
- Bachelors Economics University of California, Berkeley
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(Suggest an Edit or Addition)Patrick Luke Bolton's Published Works
Published Works
- An incomplete contracts approach to financial contracting (1992) (2042)
- A theory of predation based on agency problems in financial contracting (1990) (1624)
- A Theory of Trickle-Down Growth and Development (1997) (1594)
- Optimal Debt Structure and the Number of Creditors (1996) (1319)
- Corporate Governance and Control (2002) (1128)
- The Credit Ratings Game (2009) (887)
- Contracts as a barrier to entry (1987) (862)
- The Breakup of Nations: A Political Econ-omy Analysis (1997) (848)
- The firm as a communication network (1994) (812)
- Blocks, liquidity and corporate control (1998) (702)
- Equity, Bonds, and Bank Debt: Capital Structure and Financial Market Equilibrium under Asymmetric Information (2000) (690)
- A Unified Theory of Tobin's Q, Corporate Investment, Financing, and Risk Management (2009) (644)
- Relationship and Transaction Lending in a Crisis (2013) (565)
- Do Investors Care About Carbon Risk? (2020) (431)
- The Great Divide and Beyond - Financial Architecture in Transition (2002) (397)
- Sovereign Default Risk and Bank Fragility in Financially Integrated Economies (2011) (349)
- Market Timing, Investment, and Risk Management (2011) (337)
- Incomplete Contracts, Vertical Integration, and Supply Assurance (1993) (306)
- OPTIMAL LEARNING BY EXPERIMENTATION (1991) (305)
- Executive Compensation and Risk Taking (2011) (305)
- Credit Default Swaps and the Empty Creditor Problem (2010) (270)
- Corporate Finance and the Monetary Transmission Mechanism (2000) (257)
- A trickle down theory of growth and development (1997) (249)
- Decentralization, Duplication, and Delay (1990) (230)
- Hedging Climate Risk (2015) (224)
- Corporate Finance, the Theory of the Firm, and Organizations (1998) (219)
- Predatory Pricing: Strategic Theory and Legal Policy (1999) (215)
- Government Domestic Debt And The Risk Of Default: A Political-Economic Model Of The Strategic Role Of Debt (1990) (207)
- Economic theories of the break-up and integration of nations (1996) (207)
- Inside and Outside Liquidity (2008) (202)
- Why Bank Governance is Different (2011) (202)
- The Economics of Contracts (2008) (194)
- Leadership, Coordination, and Corporate Culture (2013) (194)
- Conflicts of interest, information provision, and competition in the financial services industry (2007) (193)
- Optimal Design of Bank Bailouts: The Case of Transition Economies (1999) (191)
- Outside and Inside Liquidity (2009) (172)
- Cream Skimming in Financial Markets (2011) (154)
- Exit Options in Corporate Finance: Liquidity versus Incentives (2004) (150)
- Distribution and growth in models of imperfect capital markets (1992) (146)
- Structuring and Restructuring Sovereign Debt: The Role of Seniority (2005) (136)
- Political Intervention in Debt Contracts (2002) (133)
- Should Derivatives Be Privileged in Bankruptcy? (2011) (115)
- Structuring and Restructuring Sovereign Debt: The Role of a Bankruptcy Regime (2007) (100)
- Contagious bank failures in a free banking system (2000) (98)
- Pay for Short-Term Performance: Executive Compensation in Speculative Markets (2005) (91)
- Optimal debt structure with multiple creditors (1993) (84)
- Distributional Conflicts, Factor Mobility, and Political Integration (1996) (83)
- Liquidity and Control: A Dynamic Theory of Corporate Ownership Structure (1998) (83)
- Capital Access Bonds: Contingent Capital with an Option to Convert (2011) (81)
- Renegotiation and the dynamics of contract design (1990) (77)
- Toward a Statutory Approach to Sovereign Debt Restructuring: Lessons from Corporate Bankruptcy Practice around the World (2003) (76)
- Global Pricing of Carbon-Transition Risk (2021) (75)
- An `Incomplete Contract' Approach to Bankruptcy and the Financial Structure of the Firm (1988) (71)
- A rare variant in APOC3 is associated with plasma triglyceride and VLDL levels in Europeans (2014) (69)
- From Global Savings Glut to Financing Infrastructure: The Advent of Investment Platforms (2016) (65)
- Privatization policies in Central and Eastern Europe (1992) (64)
- Optimal Contracting, Corporate Finance, and Valuation with Inalienable Human Capital (2015) (62)
- Investor Ideology (2019) (59)
- Inside the Black Box: How Should a Sovereign Bankruptcy Framework Be Structured? (2005) (58)
- Leadership, Coordination and Mission-Driven Management (2008) (58)
- INCOMPLETE SOCIAL CONTRACTS (2003) (56)
- Thinking Ahead: The Decision Problem (2005) (55)
- Bank Resolution and the Structure of Global Banks (2018) (53)
- Coco Issuance and Bank Fragility (2017) (52)
- Financial Innovations and Corporate Insolvency (1999) (52)
- Cream-Skimming in Financial Markets: Cream-Skimming in Financial Markets (2016) (51)
- Sovereign wealth funds and long-term investing (2011) (51)
- Conflicts of Interest, Information Provision and Competition in Banking (2004) (50)
- Satisficing Contracts (2009) (50)
- Vertical Restraints in a Model of Vertical Differentiation (1988) (50)
- Privatization and the separation of ownership and control: lessons from Chinese enterprise reform (1995) (49)
- Loyalty‐Shares: Rewarding Long‐Term Investors (2013) (47)
- Debt, Taxes, and Liquidity (2014) (47)
- Corporate law and governance (2007) (45)
- Authority in organizations (2012) (44)
- CoCo Bond Issuance and Bank Funding Costs (2015) (43)
- Market and Public Liquidity (2009) (40)
- Authority in Organizations: A Survey (2012) (37)
- Economists' perspectives on leadership (2008) (34)
- From global savings glut to financing infrastructure (2016) (34)
- Strategic Experimentation: A Revision (1995) (33)
- The green swan (2020) (33)
- The financial structure of the firm and the problem of control (1989) (32)
- Strategic experimentation : The undiscounted case (2000) (32)
- Central banks, financial stability and policy coordination in the age of climate uncertainty: a three-layered analytical and operational framework (2020) (32)
- Investment Under Uncertainty with Financial Constraints (2014) (32)
- Born Out of Necessity: A Debt Standstill for COVID-19 (2020) (31)
- The Capital Structure of Nations (2017) (30)
- Carbon Premium Around the World (2020) (30)
- Should Derivatives Be Privileged in Bankruptcy?: Should Derivatives Be Privileged in Bankruptcy? (2015) (30)
- Managerial Entrenchment and Debt Maturity : Theory and Evidence ∗ (2006) (30)
- Ownership and Managerial Competition: Employee, Customer, or Outside Ownership (2001) (28)
- Optimal Property Rights in Financial Contracting (2007) (27)
- Banking in Emerging Markets (2002) (27)
- Predatory Pricing: Response to Critique and Further Elaboration (2002) (26)
- Structuring and Restructuring Sovereign Debt : The Role of a Bankruptcy Regime (2007) (25)
- Liquidity and Risk Management: Coordinating Investment and Compensation Policies (2016) (25)
- Strategic Conduct in Credit Derivative Markets (2013) (24)
- Savings Gluts and Financial Fragility (2018) (24)
- Credit Markets for the Poor (2005) (23)
- Corporate Finance, Incomplete Contracts, and Corporate Control (2014) (23)
- Investment under Uncertainty and the Value of Real and Financial Flexibility (2014) (22)
- An introduction to the governance and taxation of not-for-profit organizations (2006) (19)
- Redesigning the international lender of last resort (2005) (19)
- Governance and Climate Change: A Success Story in Mobilizing Investor Support for Corporate Responses to Climate Change (2016) (18)
- L-Shares: Rewarding Long-Term Investors (2012) (18)
- Presidential Address: Debt and Money: Financial Constraints and Sovereign Finance (2016) (18)
- Learning through price experimentation by a monopolist facing unknown demand (1988) (17)
- Intracompany Governance and Innovation (2009) (17)
- The Political Economy of Debt Moratoria, Bailouts and Bankruptcy (1999) (16)
- Signaling through Carbon Disclosure (2020) (16)
- A Theory of Liquidity and Risk Management Based on the Inalienability of Risky Human Capital (2015) (15)
- A dilution cost approach to financial intermediation and securities markets (1998) (15)
- Odious Debts or Odious Regimes? (2007) (14)
- Sovereign Default Risk in Financially Integrated Economies (2010) (13)
- Investment, Liquidity, and Financing under Uncertainty (2013) (12)
- Time to Rethink Sovereign Bankruptcy: A New Role for the IMF? (2008) (12)
- The "Foreclosure" Effects of Vertical Mergers* (2016) (12)
- Covenant Lite Lending, Liquidity, and Standardization of Financial Contracts (2011) (11)
- Leverage Dynamics and Financial Flexibility (2020) (11)
- The time and budget constraints of the firm (1995) (11)
- Financial Restructuring in Transition Economies (1996) (11)
- A simple method to identify an external vaporizer leak (the "SNIFF" method). (2005) (10)
- Dynamic Banking and the Value of Deposits (2020) (10)
- Structuring and Restructuring Sovereign Debt (2007) (10)
- Debt and Money : Financial Contraints and Sovereign Finance (2016) (8)
- How Can Emerging Market Economies Benefit from a Corporate Bond Market (2008) (8)
- Capital Structure of Nations (2018) (8)
- Mandatory Corporate Carbon Disclosures and the Path to Net Zero (2021) (7)
- The Good Banker (2013) (6)
- Title Why China's economic reforms differ: the M-form hierarchy and entry/expansion of the non-state sector (1993) (6)
- Liquidity Hoarding and Investment under Uncertainty (2013) (6)
- The Financial Cost of Carbon (2022) (6)
- LIQUIDITY AND FINANCIAL INSTABILITY: AN INTRODUCTION (2004) (6)
- Global Public‐Private Investment Partnerships: A Financing Innovation with Positive Social Impact (2020) (6)
- Net-Zero Carbon Portfolio Alignment (2021) (5)
- On the design of bank bailout policy in transition economies (2002) (5)
- Comment on WHO SHOULD ACT AS LENDER OF LAST RESORT? AN INCOMPLETE CONTRACTS MODEL (2000) (5)
- Environmental Protection and Sovereign Debt Restructuring (2022) (5)
- Optimal Payment Areas or Optimal Currency Areas (2018) (5)
- Maximizing Autonomy in the Shadow of Great Powers (2011) (4)
- Legal Air Cover (2020) (4)
- Internet Appendix for “ A Unified Theory of Tobin ’ s q , Corporate Investment , Financing , and Risk Management ” ∗ (2011) (4)
- Out-of-the-Money CEOs: Inferring Private Control Premium from CEO Option Exercise (2014) (4)
- Should Derivatives be Senior (2011) (4)
- Financial Architecture in Emerging Market Economies (2006) (4)
- Hasty C-arm positioning: a recipe for disaster. (2006) (3)
- Leverage Dynamics under Costly Equity Issuance∗ (2021) (3)
- Conflicts of Interest and Credible Information Provision by Specialized and One-Stop Banks (2003) (3)
- Learning Through Price Experimentation (1987) (3)
- The theory of organizations: discussion of Harris and Raviv, and Tirole (1992) (3)
- A Dynamic Tradeoff Theory for Financially Constrained Firms ∗ (2013) (3)
- Sovereign Wealth Funds – Distinguishing Aspects and Opportunities (2011) (3)
- The Organization of Innovation Across Countries and Industries ∗ (2013) (3)
- The Marginal Value of Cash and Corporate Savings ∗ (2013) (3)
- The COVID-19 pandemic: a letter to G20 leaders (2020) (3)
- Sovereign Wealth Funds: Form and Function in the Twenty-first Century (2011) (2)
- Barriers to Long-Term Cross-Border Investing: A Survey of Institutional Investor Perceptions (2014) (2)
- Anesthetic Management Using Echocardiography for Surgery of Lower Extremity in a Patient with Ebstein ’ s Malformation (2005) (2)
- Tilt of Benchmarks (2011) (2)
- Sovereign Wealth Funds and the Shifting Wealth of Nations (2011) (2)
- The status of contracts exceeding a municipal tender call : regspraak (2009) (2)
- Money, Sovereignty, and Optimal Currency Areas (2018) (2)
- Is the financial sector too big ? (2010) (2)
- Financing Long-Term Investments After the Crisis: A View from Europe (2011) (2)
- The Rationale for Sovereign Wealth Funds from a Development Perspective1 (2011) (2)
- Optimal Property Rights in Financial Contracting - eScholarship (2007) (2)
- How to Rethink Sovereign Bankruptcy (2010) (2)
- Chapter 3. The Good Banker (2019) (2)
- Panel Paper: Managing Commodity Risk – Can Sovereign Funds Help? (2011) (1)
- Insider Trading and Market Manipulations: Existence and Uniqueness of Equilibrium (1)
- Which Financial Benchmarks and Other Incentives Work for Long-Term Investing?1 (2011) (1)
- Chile and Copper (2011) (1)
- Optimal Payment Area or Optimal Currency Area? (2017) (1)
- Understanding Big Data: Data Calculus in the Digital Era (2021) (1)
- Compensation and Risk-Taking in the U.S. Financial Industry (2011) (1)
- The Role of Property Rights in Chinese Economic Transition (2013) (1)
- Reconciling Sovereignty, Accountability, and Transparency in Sovereign Wealth Funds (2011) (1)
- POLICIES FOR MANAGING A WAVE OF SOVEREIGN DEBT CRISES* (2021) (1)
- The Sovereign Debt Problem (2011) (1)
- The poverty of monetarism (2020) (1)
- Panel Paper: The Four Benchmarks of Sovereign Wealth Funds (2011) (1)
- Liquidity and Risk Management, Executive Compensation, and Investment with Inalienable Human Capital: Optimal Contracting and Corporate Valuation (2015) (1)
- MONETARY POLICY, LIQUIDITY, AND FINANCIAL CRISESf Market and Public Liquidity (2009) (1)
- Outside and inside Liquidity * I. Introduction (2010) (1)
- The role of contracts in industrial organisation theory (1986) (1)
- Panel Paper: L-Shares – Rewarding Long-Term Investors (2011) (1)
- Strategic Experimentation - (Now published in 'Econometrica',(March 1999) (1993) (1)
- Debt Maturity and the International Financial Architecture -- Olivier Jeanne -- July 1, 2004 -- IMF Working Paper No. 04/137 (2004) (1)
- Corporate Finance and Risky Inalienable Human Capital (2014) (1)
- Sovereign Wealth Funds as Catalysts of Socially Responsible Investing (2011) (1)
- Renegotiation RENEGOTIATION AND THE DYNAMICS OF CONTRACT DESIGN (2002) (0)
- Building Long-Term Strategies for Investment of Sovereign Wealth (2011) (0)
- Working Paper Department of Economics Learning through Price Experimentation Bv a Monopolist Facing Unknown Demand (2011) (0)
- 1 Global Pricing of Carbon-Transition Risk 1 (2020) (0)
- GUEST EDITOR'S INTRODUCTION Banking in Emerging Markets (2002) (0)
- Conference Organizers (2011) (0)
- Navigating the ESG world 1 (2020) (0)
- Management of Commodity Price Risks on Sovereign Balance Sheets1 (2011) (0)
- Ownership and Marginal Competition : Employee, Customer and Outside Ownership (2000) (0)
- Objectives and Ethical Guidelines of Norges Bank Investment Management (2011) (0)
- The CO2 Question: Technical Progress and the Climate Crisis (2022) (0)
- Career Concerns and Corporate Finance Preliminary and Incomplete (2015) (0)
- Restrictions on Cross-Border Investment (2011) (0)
- Macroeconomic Uncertainty and Managing Risk for Sovereign Wealth Funds (2011) (0)
- CoCo Bonds Issuance and Bank Fragility (2020) (0)
- Towards an International Green Fund We Owe Special Thanks to Laurence Wilse-samson for Superb Research Assistance. We Are Also Grateful To (2010) (0)
- Title: Matching Markets with Adverse Selection the Paper Benefitted from Comments By (0)
- Capital Unemployment , Financial Shocks , and Investment Slumps ∗ Job Market Paper [ Preliminary and Incomplete ] (2014) (0)
- IESE ECGI CONFERENCE ON CORPORATE PURPOSE: Can Purpose Deliver Better Corporate Governance? (2021) (0)
- Leadership , Coordination and Mission-Driven Management : Appendix ( not for publication ) (2011) (0)
- The Contribution of Institutional Investors to Fostering Stability and Long-Term Growth (2011) (0)
- Incentive Effects of Conditional Bank Recapitalisation: Lending and Disclosure of Non-Performing Loans (2001) (0)
- 1. Finance and Economics (2016) (0)
- Building Emerging Countries’ Financial Infrastructure by Investing in Microfinance (2011) (0)
- WB28_19_AWBC_Erik Berlof (2007) (0)
- © notice, is given to the source. Maturity Rationing and Collective Short-Termism (2014) (0)
- From Global Savings Glut to Financing Infrastructure 1 (2016) (0)
- Debt, Default, and Risk Management: Corporate Policies Under Incomplete Markets (2019) (0)
- What Sovereign Wealth Funds Can Do to Alleviate Global Poverty (2011) (0)
- Learning Through Price Experimentation - eScholarship (1987) (0)
- Sovereign Wealth Funds as Stabilizers (2011) (0)
- The Value of Transparency (2011) (0)
- Fiduciary Duties and Equity‐debtholder Conflicts I. Fiduciary Duties and the Credit Lyonnais v. Pathe Communications Case Lawsuits Citing Credit Lyonnais Appeared in the next Several Years following Ruling. Ii. Data (0)
- Covenant of Good Faith & The Economics of Contracts Contract Theory and Law Colloquium , April 25 , 2019 (2019) (0)
- The Emerging Role of State Investors in the Governance of Global Corporations (2011) (0)
- Corporate Governance and Banking Union in a transatlantic perspective (2013) (0)
- Do Carbon Prices Affect Stock Prices? (2023) (0)
- Theory for Financially Constrained Firms (2013) (0)
- Executive Compensation and Risk Taking PRELIMINARY AND INCOMPLETE DRAFT (2010) (0)
- The End of the “ Modern Corporation ” : Deregulation and Ownership of Electric Utilities (2016) (0)
- WORKING PAPER SERIES DYNAMIC BANKING AND THE VALUE OF DEPOSITS (2020) (0)
- How to Reward Long-Term Investors (2011) (0)
- Smart Energy Globalization (2011) (0)
- Legal Entities as Transferable Bundles of Contracts1 (2012) (0)
- Inside the Black Box: How Should a Sovereign Bankruptcy Regime be Structured? (2014) (0)
- The Firm as a Communication Network - (Now published in 'Quarterly Journal of Economics' CIX(4) (December 1994), pp.809-839. Reprinted in Mark Casson (ed.). 'The Theory of the Firm'(Edward Elgar Publishing, 1997) (1992) (0)
- Are carbon emissions associated with stock returns? Comment (2023) (0)
- A Theory of Liquidity and Risk Management ∗ Incomplete and Do not Distribute (2016) (0)
- CoCo Bond Issuance and Bank Funding Costs1 (2015) (0)
- Mil. Libraries -dewey (2011) (0)
- Is the nancial sector too big (2010) (0)
- The Review of Economic Studies Ltd . An Incomplete Contracts Approach to Financial Contracting (2007) (0)
- A Green Index without Relative Market Risk : The Basic Concept (2016) (0)
- The ICFR-FT Research Prize 2010 Executive Compensation and Risk Taking (2010) (0)
- Inside the Black Box: How Should a Sovereign Bankruptcy Regime be Structured? (2014) (0)
- Predatory pricing : Reply to critics and further elaboration (2001) (0)
- Funds and Volatility (2011) (0)
- The Review of Economic Studies Ltd. (2009) (0)
- The Great Carbon Arbitrage, WP/22/107, May 2022 (2022) (0)
- Show and Tell: An Analysis of Corporate Climate Messaging and its Financial Impacts (2023) (0)
- The Great Carbon Arbitrage, WP/22/107, June 2022 (2022) (0)
- Capital markets and financial intermediation: Discussion (1993) (0)
- Lowering the cost of capital in emerging market economies (2007) (0)
- Influencing Clean Innovations (2011) (0)
- The Rise of Carbon-Free Technology (2011) (0)
- Government and Market Failures in Emerging Market Economies : Implications for Corporate Governance and Bankruptcy (2006) (0)
- Panel Paper: Capital Access Bonds – Securities Implementing Countercyclical Investment Strategies (2011) (0)
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What Schools Are Affiliated With Patrick Luke Bolton?
Patrick Luke Bolton is affiliated with the following schools: