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Mariassunta Giannetti

Global rank #917 98%

Institution: Stockholm School of Economics

Primary Field: Finance (weighted toward more recent publications)

Homepage: https://sites.google.com/site/mariassuntagiannetti/Home

First Publication: 2002

Most Recent: 2025

RePEc ID: pgi23 ↗

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 0.67 6.10 2.85 0.00 17.73
Last 10 Years 0.67 11.80 5.87 0.00 32.14
All Time 1.68 20.85 17.93 0.00 66.33

Publication Statistics

Raw Publications 41
Coauthorship-Adjusted Count 40.63

Publications (41)

Year Article Journal Tier Authors
2025 Central bank liquidity reallocation and bank lending: Evidence from the tiering system Journal of Financial Economics A 5
2024 Supply chain risk: Changes in supplier composition and vertical integration Journal of International Economics A 3
2024 Trade credit and the stability of supply chains Journal of Financial Economics A 3
2024 Sustainability or performance? Ratings and fund managers’ incentives Journal of Financial Economics A 3
2024 Bond Price Fragility and the Structure of the Mutual Fund Industry The Review of Financial Studies A 2
2023 Public Attention to Gender Equality and Board Gender Diversity Journal of Financial and Quantitative Analysis B 2
2023 Trade Credit and the Transmission of Unconventional Monetary Policy The Review of Financial Studies A 4
2022 Is there a zero lower bound? The effects of negative policy rates on banks and firms Journal of Financial Economics A 4
2022 Liability Structure and Risk Taking: Evidence from the Money Market Fund Industry Journal of Financial and Quantitative Analysis B 3
2022 The effects of mutual fund decarbonization on stock prices and carbon emissions Review of Finance B 3
2021 Uncertainty, access to debt, and firm precautionary behavior Journal of Financial Economics A 3
2021 The Externalities of Corruption: Evidence from Entrepreneurial Firms in China Review of Finance B 4
2021 Big corporations are trying to silence their own shareholders The Review of Financial Studies A 2
2021 Cheap Trade Credit and Competition in Downstream Markets Journal of Political Economy S 3
2019 Changing corporate governance norms: Evidence from dual class shares in the UK Journal of Financial Intermediation B 2
2019 Board Ancestral Diversity and Firm-Performance Volatility Journal of Financial and Quantitative Analysis B 2
2019 Costs and benefits of financial conglomerate affiliation: Evidence from hedge funds Journal of Financial Economics A 2
2019 Shock Propagation and Banking Structure The Review of Financial Studies A 2
2018 Open-End Organizational Structures and Limits to Arbitrage The Review of Financial Studies A 2
2017 Forced Asset Sales and the Concentration of Outstanding Debt: Evidence from the Mortgage Market Journal of Finance A 2
2017 Information Sharing and Rating Manipulation The Review of Financial Studies A 3
2016 Corporate Scandals and Household Stock Market Participation Journal of Finance A 2
2016 Local Ownership, Crises, and Asset Prices: Evidence from US Mutual Funds Review of Finance B 2
2015 The Brain Gain of Corporate Boards: Evidence from China Journal of Finance A 3
2014 On the fortunes of stock exchanges and their reversals: Evidence from foreign listings Journal of Financial Intermediation B 2
2013 On the Real Effects of Bank Bailouts: Micro Evidence from Japan American Economic Journal: Macroeconomics A 2
2013 Investors' Horizons and the Amplification of Market Shocks The Review of Financial Studies A 3
2012 Flight Home, Flight Abroad, and International Credit Cycles American Economic Review S 2
2012 “Lending by example”: Direct and indirect effects of foreign banks in emerging markets Journal of International Economics A 2
2012 The flight home effect: Evidence from the syndicated loan market during financial crises Journal of Financial Economics A 2
2011 What You Sell Is What You Lend? Explaining Trade Credit Contracts The Review of Financial Studies A 3
2011 Serial CEO incentives and the structure of managerial contracts Journal of Financial Intermediation B 1
2010 Investor Protection, Equity Returns, and Financial Globalization Journal of Financial and Quantitative Analysis B 2
2009 Social Interactions and Entrepreneurial Activity Journal of Economics & Management Strategy B 2
2009 Financial Integration and Firm Performance: Evidence from Foreign Bank Entry in Emerging Markets Review of Finance B 2
2009 Pension Reform, Ownership Structure, and Corporate Governance: Evidence from a Natural Experiment The Review of Financial Studies A 2
2007 Financial liberalization and banking crises: The role of capital inflows and lack of transparency Journal of Financial Intermediation B 1
2006 Which Investors Fear Expropriation? Evidence from Investors' Portfolio Choices Journal of Finance A 2
2003 Do Better Institutions Mitigate Agency Problems? Evidence from Corporate Finance Choices Journal of Financial and Quantitative Analysis B 1
2003 On the mechanics of migration decisions: skill complementarities and endogenous price differentials Journal of Development Economics A 1
2002 The effects of integration on regional disparities: Convergence, divergence or both? European Economic Review B 1