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Samuel G. Hanson

Global rank #3190 96%

Institution: Harvard University

Primary Field: Finance (weighted toward more recent publications)

Homepage: https://www.hbs.edu/faculty/Pages/profile.aspx?facId=333598

First Publication: 2006

Most Recent: 2019

RePEc ID: pha1258 ↗

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 2.01 0.50 0.00 4.52
All Time 1.01 11.90 1.51 0.00 29.33

Publication Statistics

Raw Publications 16
Coauthorship-Adjusted Count 14.47

Publications (16)

Year Article Journal Tier Authors
2019 Social Risk, Fiscal Risk, and the Portfolio of Government Programs The Review of Financial Studies A 3
2018 Asset Price Dynamics in Partially Segmented Markets The Review of Financial Studies A 3
2017 Strengthening and Streamlining Bank Capital Regulation Brookings Papers on Economic Activity B 4
2016 Who neglects risk? Investor experience and the credit boom Journal of Financial Economics A 3
2015 A Comparative-Advantage Approach to Government Debt Maturity Journal of Finance A 3
2015 Monetary policy and long-term real rates Journal of Financial Economics A 2
2015 Banks as patient fixed-income investors Journal of Financial Economics A 4
2015 Waves in Ship Prices and Investment Quarterly Journal of Economics S 2
2014 Mortgage convexity Journal of Financial Economics A 1
2014 The Growth and Limits of Arbitrage: Evidence from Short Interest The Review of Financial Studies A 2
2013 Are there too many safe securities? Securitization and the incentives for information production Journal of Financial Economics A 2
2013 Issuer Quality and Corporate Bond Returns The Review of Financial Studies A 2
2012 Share Issuance and Factor Timing Journal of Finance A 2
2012 The Variance of Non-Parametric Treatment Effect Estimators in the Presence of Clustering Review of Economics and Statistics A 2
2010 A Gap‐Filling Theory of Corporate Debt Maturity Choice Journal of Finance A 3
2006 Confidence intervals for probabilities of default Journal of Banking & Finance B 2