Regulatory pressure and fire sales in the corporate bond market A Ellul, C Jotikasthira, CT Lundblad Journal of Financial Economics 101 (3), 596-620, 2011 | 735 | 2011 |
Asset fire sales and purchases and the international transmission of funding shocks C Jotikasthira, C Lundblad, T Ramadorai The Journal of Finance 67 (6), 2015-2050, 2012 | 529 | 2012 |
Is historical cost accounting a panacea? Market stress, incentive distortions, and gains trading A Ellul, C Jotikasthira, CT Lundblad, Y Wang The Journal of Finance 70 (6), 2489-2538, 2015 | 229 | 2015 |
Governance under the gun: Spillover effects of hedge fund activism N Gantchev, O Gredil, C Jotikasthira Review of Finance 23 (6), 1031-1068 (Editor's Choice), 2019 | 201 | 2019 |
Why do term structures in different currencies co-move? C Jotikasthira, A Le, C Lundblad Journal of Financial Economics 115 (1), 58-83, 2015 | 170 | 2015 |
Heterogeneous taxes and limited risk sharing: Evidence from municipal bonds T Babina, C Jotikasthira, CT Lundblad, T Ramadorai Review of Financial Studies 34 (1), 509-568, 2021 | 121 | 2021 |
Institutional trading and hedge fund activism N Gantchev, C Jotikasthira Management Science 64 (6), 2930-2950, 2018 | 118* | 2018 |
Insurers as asset managers and systemic risk A Ellul, C Jotikasthira, AV Kartasheva, CT Lundblad, W Wagner Review of Financial Studies 35 (12), 5483-5534, 2022 | 104 | 2022 |
Mark-to-market accounting and systemic risk: Evidence from the insurance industry A Ellul, C Jotikasthira, CT Lundblad, Y Wang Economic Policy 29 (78), 297-341, 2014 | 87* | 2014 |
Mutual fund trading style and bond market fragility A Anand, C Jotikasthira, K Venkataraman Review of Financial Studies 34 (6), 2993-3044, 2021 | 74* | 2021 |
Bond price fragility and the structure of the mutual fund industry M Giannetti, C Jotikasthira The Review of Financial Studies 37 (7), 2063-2109, 2024 | 21 | 2024 |
How do foreign investors impact domestic economic activity? Evidence from India and China C Jotikasthira, C Lundblad, T Ramadorai Journal of International Money and Finance 39, 89-110, 2013 | 15 | 2013 |
Intermediary Balance Sheet Constraints, Bond Mutual Funds' Strategies, and Bond Returns M Giannetti, C Jotikasthira, AC Rapp, M Waibel Swedish House of Finance Research Paper, 23-19, 2024 | 7 | 2024 |
Spillover effects of risk regulation on the Asset Side to Asset Markets A Ellul, C Jotikasthira, C Lundblad The Economics, Regulation, and Systemic Risk of Insurance Markets, 165-192, 2017 | 4 | 2017 |
Does search friction really matter? Evidence from the corporate bond market C Jotikasthira Evidence from the Corporate Bond Market (September 24, 2007). EFA, 2007 | 3 | 2007 |
Dealer specialization and market segmentation C Jotikasthira, CT Lundblad, J Xue Available at SSRN 4636821, 2024 | 2 | 2024 |
The Impact of Risk Management Mandates: Evidence from Variable Annuities C Ellis, C Jotikasthira, J Xu Available at SSRN 5160872, 2025 | | 2025 |
Strategic Claim Payment Delays: Evidence from Property and Casualty Insurance C Jotikasthira, A Kartasheva, CT Lundblad, T Ramadorai | | 2025 |
Heterogenous Taxes and Limited Risk Sharing: Evidence from Municipal Bonds CT Lundblad, C Jotikasthira, T Babina CEPR Discussion Papers, 2015 | | 2015 |
Asset fire sales and purchases and the international transmission of financial shocks CT Lundblad, C Jotikasthira CEPR Discussion Papers, 2009 | | 2009 |