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Enrico Perotti

Global rank #1593 98%

Institution: Universiteit van Amsterdam

Primary Field: Finance (weighted toward more recent publications)

First Publication: 1993

Most Recent: 2025

RePEc ID: ppe58 ↗

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 3.69 1.01 0.00 8.38
Last 10 Years 0.00 3.69 2.01 0.00 9.38
All Time 5.03 6.70 14.75 0.00 48.26

Publication Statistics

Raw Publications 24
Coauthorship-Adjusted Count 26.59

Publications (24)

Year Article Journal Tier Authors
2025 Achieving safety: Personal, private, and public provision Journal of Economic Theory A 2
2024 Pay, Stay, or Delay? How to Settle a Run The Review of Financial Studies A 2
2022 Capital forbearance in the bank recovery and resolution game Journal of Financial Economics A 3
2022 The Good, the Bad, and the Missed Boom The Review of Financial Studies A 2
2021 Cheap but flighty: A theory of safety-seeking capital flows Journal of Banking & Finance B 2
2018 Convertible bonds and bank risk-taking Journal of Financial Intermediation B 2
2011 Confidence building on Euro convergence: Evidence from currency options Journal of International Money and Finance B 2
2011 A Pigovian Approach to Liquidity Regulation International Journal of Central Banking B 2
2011 Capital Regulation and Tail Risk International Journal of Central Banking B 3
2009 The political origin of pension funding Journal of Financial Intermediation B 2
2008 Entrepreneurs and new ideas RAND Journal of Economics A 2
2007 Unlocking value: Equity carve outs as strategic real options Journal of Corporate Finance B 2
2006 The Political Economy of Corporate Control and Labor Rents Journal of Political Economy S 2
2003 Strategic Transparency and Informed Trading: Will Capital Market Integration Force Convergence of Corporate Governance? Journal of Financial and Quantitative Analysis B 2
2002 Machiavellian Privatization American Economic Review S 2
2002 Last bank standing: What do I gain if you fail? European Economic Review B 2
2001 Red barons or robber barons? Governance and investment in Russian financial-industrial groups European Economic Review B 2
2001 Option pricing and foreign investment under political risk Journal of International Economics A 2
2001 Privatization, political risk and stock market development in emerging economies Journal of International Money and Finance B 2
1998 Inertial credit and opportunistic arrears in transition European Economic Review B 1
1995 Credible Privatization. American Economic Review S 1
1994 The governance structure of the Japanese financial keiretsu Journal of Financial Economics A 2
1993 Capital Structure as a Bargaining Tool: The Role of Leverage in Contract Renegotiation. American Economic Review S 2
1993 Bank lending in transition economies Journal of Banking & Finance B 1