Loading...

← Back to Leaderboard

William Robert Maurice Perraudin

Global rank #6227 92%

Institution: Risk Control Ltd

Primary Field: Finance (weighted toward more recent publications)

First Publication: 1995

Most Recent: 2004

RePEc ID: ppe518 ↗

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 0.00 4.36 7.71 0.00 16.76

Publication Statistics

Raw Publications 15
Coauthorship-Adjusted Count 12.79

Publications (15)

Year Article Journal Tier Authors
2004 On the consistency of ratings and bond market yields Journal of Banking & Finance B 2
2003 Real options and preemption under incomplete information Journal of Economic Dynamics and Control B 2
2002 The estimation of transition matrices for sovereign credit ratings Journal of Banking & Finance B 3
2002 Regulatory and "economic" solvency standards for internationally active banks Journal of Banking & Finance B 3
2002 Introduction: Banks and systemic risk Journal of Banking & Finance B 2
2000 Regulatory implications of credit risk modelling Journal of Banking & Finance B 2
2000 Stability of rating transitions Journal of Banking & Finance B 3
2000 The demand for risky assets: Sample selection and household portfolios Journal of Econometrics A 2
1998 Reserve and exchange rate cycles Journal of International Economics A 3
1997 Optimal bank reorganization and the fair pricing of deposit guarantees Journal of Banking & Finance B 3
1997 Strategic Debt Service. Journal of Finance A 2
1997 Debt in Industry Equilibrium. The Review of Financial Studies A 3
1997 Time to default in the UK mortgage market Economic Modeling C 3
1996 Creditor races and contingent claims European Economic Review B 2
1995 A Theorem on Portfolio Separation with General Preferences Journal of Economic Theory A 2