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Varouj Aram Aivazian

Global rank #3140 96%

Institution: University of Toronto

Primary Field: Finance (weighted toward more recent publications)

Homepage: http://individual.utoronto.ca/vaivazian/Home.htm

First Publication: 1977

Most Recent: 2015

RePEc ID: pai37 ↗

Publication Scores

Scores use coauthorship adjustment: α/n credit per paper, where n = number of authors. α = 2.01: calibrated so average adjusted count equals average raw count (a zero-sum adjustment).

Period S (4x) A (2x) B (1x) C (½x) Total
Last 5 Years 0.00 0.00 0.00 0.00 0.00
Last 10 Years 0.00 0.00 0.00 0.00 0.00
All Time 1.01 9.05 7.54 0.00 30.16

Publication Statistics

Raw Publications 21
Coauthorship-Adjusted Count 18.68

Publications (21)

Year Article Journal Tier Authors
2015 Loan collateral, corporate investment, and business cycle Journal of Banking & Finance B 4
2015 Bank loan contracting and corporate diversification: Does organizational structure matter to lenders? Journal of Financial Intermediation B 3
2009 Experimental Tests of Core Theory and the Coase Theorem: Inefficiency and Cycling Journal of Law and Economics B 3
2008 Financial constraints and investment: assessing the impact of a World Bank credit program on small and medium enterprises in Sri Lanka Canadian Journal of Economics C 2
2006 Dividend Smoothing and Debt Ratings Journal of Financial and Quantitative Analysis B 3
2005 The impact of leverage on firm investment: Canadian evidence Journal of Corporate Finance B 3
2005 Can corporatization improve the performance of state-owned enterprises even without privatization? Journal of Corporate Finance B 3
2005 Corporate governance and manager turnover: An unusual social experiment Journal of Banking & Finance B 3
2001 Capital Structures in Developing Countries Journal of Finance A 4
1990 Risk versus return in the substitutability of debt and equity securities Journal of Monetary Economics A 4
1987 Miller's Irrelevance Mechanism: A Note. Journal of Finance A 2
1987 Economies of Scale versus Technological Change in the Natural Gas Transmission Industry. Review of Economics and Statistics A 1
1986 International exchange risk and asset substitutability Journal of International Money and Finance B 4
1983 Mean-Variance Utility Functions and the Demand for Risky Assets: An Empirical Analysis Using Flexible Functional Forms Journal of Financial and Quantitative Analysis B 4
1983 Reorganization in bankruptcy and the issue of strategic risk Journal of Banking & Finance B 2
1981 The Coase Theorem and the Empty Core. Journal of Law and Economics B 2
1980 Uncertain Externalities, Liability Rules, and Resource Allocation: Comment. American Economic Review S 2
1980 Future Investment Opportunities and the Value of the Call Provision on a Bond: Comment. Journal of Finance A 2
1980 Corporate leverage and growth the game-theoretic issues Journal of Financial Economics A 2
1979 Investment, Market Structure, and the Cost of Capital. Journal of Finance A 2
1977 The Demand for Assets under Conditions of Risk: Comment. Journal of Finance A 1