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					                                                                             Journal of Financial Economics
                                                                 Status of the 117 papers accepted for future publication in the JFE
                                         Paper                                                                                                          Progress
                Author(s) and Title                                                                  Decision Date       Accepted with      Accept Outright Date        Sent to        Sent to Author Sent to Publisher
                                                                                                                         Revision Date                                Copy Editor     for Copy Changes
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1     Ye Cai and Merih Sevilir                                                                            5/6/2011                                 5/6/2011
      Board connections and M&A transactions
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2     Stephen J. Brown; William N. Goetzmann; Bing Liang and Christopher G. 5/6/2011
      Trust and delegation
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3     Thorsten Koeppl; Cyril Monnet and Ted Temzelides                                                    5/6/2011
      Optimal clearing arrangements for financial trades
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4     David R. Bates                                                                                     4/25/2011
      U.S. stock market crash risk, 1926-2010
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5     Franklin H. Allen; Ana Babus and Elena Carletti                                                    4/19/2011          4/20/2011
      Asset commonality; debt maturity and systemic risk
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6     Jun Li and Jianfeng Yu                                                                             4/18/2011                                 4/18/2011
      Investor attention, psychological anchors, and stock return predictability
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7     Mark L. Mitchell and Todd Pulvino                                                                   4/7/2011
      Arbitrage crashes and the speed of capital
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8     Jeffrey Coles; Michael L. Lemmon and Felix Meschke                                                  4/7/2011          4/14/2011
      Structural models and endogeneity in corporate finance: The link between managerial ownership and corporate performance
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                                         Paper                                                                                                          Progress
                Author(s) and Title                                                                  Decision Date       Accepted with      Accept Outright Date        Sent to        Sent to Author Sent to Publisher
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9     Andrea Beltratti and René M. Stulz                                                                  4/4/2011
      The credit crisis around the globe: Why did some banks perform better?
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10 Joao Cocco and Francisco Gomes                                                                         4/4/2011                                 4/4/2011
      Longevity risk, retirement savings, and financial innovation
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11 James Brickley; James S. Linck and Clifford W. Smith                                                  3/29/2011
      Vertical integration to avoid contracting with potential competitors: Evidence from bankers' banks
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12 Daniel Hoechle; Markus M. Schmid; Ingo Walter and David Yermack                                       3/25/2011          4/15/2011
      How much of the diversification discount can be explained by poor corporate governance?
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13 Aydogan Alti and Johan Sulaeman                                                                       3/21/2011          3/29/2011              3/21/2011
      When do high stock returns trigger equity issues?
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14 Alok Kumar; Jeremy Page and Oliver Spalt                                                              3/18/2011           4/1/2011
      Religious beliefs, gambling attitudes, and financial market outcomes
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15 Anjan Thakor                                                                                          3/18/2011          4/29/2011              3/18/2011
      Incentives to innovate and financial crises
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16 Zhi Da; Re-Jin Guo and Ravi Jagannathan                                                               3/18/2011           4/6/2011              3/18/2011
      CAPM for estimating the cost of equity capital: Interpreting the empirical evidence
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17 Michael G. Hertzel and Micah Officer                                                                  3/15/2011                                 3/15/2011
      Industry contagion in loan spreads
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                                         Paper                                                                                                          Progress
                Author(s) and Title                                                                  Decision Date       Accepted with      Accept Outright Date        Sent to        Sent to Author Sent to Publisher
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18 Marcus Opp                                                                                            3/14/2011          3/17/2011              3/14/2011
      Expropriation risk and technology
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19 Nicholas C. Barberis and Wei Xiong                                                                    3/14/2011                                 3/14/2011
      Realization utility
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20 Chen Lin; Yue Ma; Paul Malatesta and Yuhai Xuan                                                       3/14/2011                                 3/14/2011
      Corporate ownership structure and bank loan syndicate structure
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21 Roger Edelen; Richard B. Evans and Gregory Kadlec                                                      3/7/2011           3/9/2011                                   4/21/2011
      Disclosure and agency conflict in delegated investment management: Evidence from mutual fund commission bundling
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22 Henrik Cronqvist; Anil Makhija and Scott E. Yonker                                                     3/1/2011           3/9/2011                                   4/21/2011
      Behavioral consistency in corporate finance: CEO personal and corporate leverage
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23 Mark Flannery and Ozde Oztekin                                                                         3/1/2011           4/6/2011              3/1/2011
      Institutional determinants of capital structure adjustment speeds
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24 Robin Greenwood and David Thesmar                                                                     2/18/2011          3/14/2011                                   4/21/2011
      Stock price fragility
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25 Kenneth R. Ahern                                                                                      2/15/2011
      Bargaining power and industry dependence in mergers
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26 Eva Liljeblom; Daniel Pasternack and Matts Rosenberg                                                  2/15/2011          3/28/2011
      What determines stock option contract design?
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                                         Paper                                                                                                          Progress
                Author(s) and Title                                                                  Decision Date       Accepted with      Accept Outright Date        Sent to        Sent to Author Sent to Publisher
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27 Alex Edmans                                                                                            2/7/2011           2/9/2011              2/7/2011             3/21/2011
      Short-term termination without deterring long-term investment: A theory of debt and buyouts
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28 Andrew Ang; Sergiy Gorovyy and Gregory B. van Inwegen                                                  2/6/2011           2/8/2011              2/6/2011             3/21/2011
      Hedge fund leverage
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29 Bernard Black and Woochan Kim                                                                          2/3/2011           2/9/2011              2/3/2011             3/21/2011
      The effect of board structure on firm value: A multiple identification strategies approach using Korean data
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30 Shane M. Heitzman                                                                                      2/3/2011          2/21/2011              2/3/2011             3/21/2011
      Equity grants to target CEOs during deal negotiations
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31 E.Han Kim and Yao Lu                                                                                   2/3/2011          2/15/2011                                   3/21/2011
      CEO ownership, external governance, and risk-taking
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32 Tal Fishman; Harrison Hong and Jeffrey Kubik                                                           2/3/2011
      Do arbitrageurs amplify economic shocks?
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33 Joseph E. Engelberg; Pengjie Gao and Christopher A. Parsons                                           1/30/2011          2/28/2011              1/30/2011
      Friends with money
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34 Matthew Billett; Jon A. Garfinkel and Yi Jiang                                                        1/30/2011           3/1/2011                                   3/21/2011
      The influence of governance on investment: Evidence from a hazard model
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35 Xiaoding Liu and Jay Ritter                                                                           1/24/2011          2/28/2011                                   4/21/2011
      Local underwriter oligopolies and IPO underpricing
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                                         Paper                                                                                                          Progress
                Author(s) and Title                                                                  Decision Date       Accepted with      Accept Outright Date        Sent to        Sent to Author Sent to Publisher
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36 Markku Kaustia and Samuli Knupfer                                                                     1/24/2011          1/28/2011                                   3/21/2011
      Peer performance and stock market entry
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37 Kay Giesecke; Francis A. Longstaff; Stephen Schaefer and Ilya A. Strebul 1/17/2011                                       2/11/2011                                   3/21/2011
      Corporate bond default risk: A 150−year perspective
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38 Xuewen Liu and Antonio Mello                                                                          1/12/2011          1/18/2011                                   3/21/2011
      The fragile capital structure of hedge funds and the limits to arbitrage
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39 Sumit Agarwal; Gene Amromin; Itzhak Ben-David; Souphala Chomsisen 1/10/2011                                              1/21/2011                                   3/21/2011
      The role of securitization in mortgage renegotiation
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40 Heitor Almeida; Murillo Campello and Dirk Hackbarth                                                   1/10/2011
      Liquidity mergers
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41 Alex Edmans                                                                                          12/31/2010         12/31/2010             12/31/2010            2/17/2011           3/2/2011            3/23/2011
      Does the stock market fully value intangibles? Employee satisfaction and equity prices
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42 Jeong-Bon Kim; Yinghua Li and Liandong Zhang                                                         12/28/2010         12/30/2010                                   2/17/2011           3/8/2011            3/18/2011
      CFOs versus CEOs: Equity incentives and crashes
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43 Vojislav Maksimovic; Gordon Phillips and N.R. Prabhala                                               12/27/2010         12/29/2010                                   2/17/2011          3/17/2011
      Post-merger restructuring and the boundaries of the firm
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44 Alberto Manconi; Massimo Massa and Ayako Yasuda                                                       12/8/2010         12/20/2010                                   2/17/2011          3/17/2011
      The role of institutional investors in propagating the crisis of 2007-2008
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                                         Paper                                                                                                          Progress
                Author(s) and Title                                                                  Decision Date       Accepted with      Accept Outright Date        Sent to        Sent to Author Sent to Publisher
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45 F.Y. Eric C. Lam and K.C. John Wei                                                                    12/7/2010         12/21/2010                                   2/17/2011          3/17/2011            3/23/2011
      Limits to arbitrage, investment frictions, and the asset growth anomaly
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46 Jordan Siegel; Amir N. Licht and Adam Schwartz                                                        12/1/2010           1/4/2011                                   2/17/2011           3/2/2011
      Egalitarianism and international investment
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47 Kose John; Anzhela Knyazeva and Diana Knyazeva                                                       11/24/2010         11/30/2010                                   1/24/2011          2/16/2011            3/18/2011
      Does geography matter? Firm location and corporate payout policy?
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48 Dennis Kristensen and Antonio Mele                                                                   11/24/2010          1/10/2011                                   2/17/2011          3/11/2011
      Adding and subtracting black-scholes: A new approach to approximating derivative prices in continuous-time model
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49 Yixin Liu and David C. Mauer                                                                         11/23/2010                                11/23/2010            2/8/2011           3/17/2011
      Corporate cash holdings and CEO compensation incentives
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50 Jon A. Garfinkel and Kristine W. Hankins                                                             11/23/2010         11/29/2010                                   1/24/2011          2/24/2011            3/18/2011
      The role of risk management in mergers and merger waves
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51 Wei Yang                                                                                             11/23/2010         11/30/2010                                   1/24/2011           2/4/2011            3/23/2011
      Long-run risk in durable consumption
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52 Vahap B. Uysal                                                                                       11/22/2010                                11/22/2010            2/8/2011           3/17/2011
      Deviation from the target capital structure and acquisition choices
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53 Quentin Boucly; David Sraer and David Thesmar                                                        11/16/2010         11/22/2010                                   1/24/2011          2/16/2011
      Growth LBOs
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                                         Paper                                                                                                          Progress
                Author(s) and Title                                                                  Decision Date       Accepted with      Accept Outright Date        Sent to        Sent to Author Sent to Publisher
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54 Xiaoji Lin                                                                                           11/15/2010          1/18/2011                                   3/21/2011
      Endogenous technological progress and the cross section of stock returns
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55 Chen Lin; Micah Officer and Hong Zou                                                                 11/15/2010         11/18/2010                                   1/24/2011          2/24/2011
      Directors' and officers' liability insurance and acquisition outcomes
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56 Feng Li and Suraj Srinivasan                                                                         11/15/2010         12/22/2010                                   2/8/2011           3/17/2011
      Corporate governance when founders are directors
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57 Nicola Gennaioli; Andrei Shleifer and Robert E. Vishny                                               11/10/2010         12/16/2010                                   2/8/2011           3/17/2011
      Neglected risks, financial innovation, and financial fragility
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58 Eliezer Fich; Jie Cai and Anh L. Tran                                                                11/10/2010         11/16/2010                                   1/5/2011           2/15/2011             3/9/2011
      Stock option grants to target CEOs during private merger negotiations
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59 Falko Fecht; Kjell Nyborg and Jorg Rocholl                                                           11/10/2010         11/16/2010                                   1/5/2011            2/4/2011
      The price of liquidity: The effect of market conditions and bank characteristics
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60 Gary Gorton and Andrew Metrick                                                                        11/9/2010          11/9/2010                                   1/5/2011            2/8/2011            3/17/2011
      Securitized banking and the run on repo
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61 Eugene Kandel; Massimo Massa and Andrei Simonov                                                       11/3/2010         12/16/2010                                   2/8/2011           3/17/2011            3/22/2011
      Do small shareholders count?
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62 Roger Edelen and Gregory Kadlec                                                                       11/2/2010          11/5/2010                                  12/28/2010           2/1/2011
      Delegated trading and the speed of adjustment in security prices
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                                         Paper                                                                                                          Progress
                Author(s) and Title                                                                  Decision Date       Accepted with      Accept Outright Date        Sent to        Sent to Author Sent to Publisher
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63 George Bulkley and Paolo Giordani                                                                     11/2/2010         11/17/2010                                   1/5/2011           2/15/2011
      Structural breaks, parameter uncertainty and term structure puzzles
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64 David Love; Paul A. Smith and David W. Wilcox                                                         11/2/2010          11/5/2010                                  12/28/2010          1/27/2011            2/23/2011
      The effect of regulation on optimal corporate pension risk
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65 Marcia Millon Cornett; Jamie John McNutt; Philip E. Strahan and Hassan 11/2/2010                                        11/16/2010                                   1/5/2011            2/9/2011             3/1/2011
      Liquidity risk management and credit supply in the financial crisis
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66 Andrew Ellul; Chotibhak Jotikasthira and Christian Lundblad                                           11/2/2010                                 11/2/2010           12/28/2010          1/27/2011            3/22/2011
      Regulatory pressure and fire sales in the corporate bond market
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67 Vincent Glode and Richard C. Green                                                                   10/25/2010                                10/25/2010           12/28/2010          1/27/2011            2/23/2011
      Information spillovers and performance persistence for hedge funds
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68 Thomas J. Chemmanur and Jie He                                                                       10/25/2010         11/22/2010                                   1/24/2011          2/15/2011             3/9/2011
      IPO waves, product market competition, and the going public decision: Theory and evidence
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69 Turan G. Bali; Stephen J. Brown and Mustafa Onur Caglayan                                            10/25/2010         10/26/2010                                  12/28/2010          1/14/2011             2/3/2011
      Do hedge funds' exposures to risk factors predict their future returns?
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70 Brock Mendel and Andrei Shleifer                                                                     10/22/2010         10/25/2010                                  11/23/2010          1/14/2011            2/23/2011
      Chasing noise
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71 Tarun Chordia; Richard Roll and Avanidhar Subrahmanyam                                               10/22/2010         10/28/2010                                  12/28/2010          1/26/2011             3/9/2011
      Recent trends in trading activity and market quality
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                                         Paper                                                                                                          Progress
                Author(s) and Title                                                                  Decision Date       Accepted with      Accept Outright Date        Sent to        Sent to Author Sent to Publisher
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72 Bo Becker and Todd Milbourn                                                                          10/22/2010                                10/22/2010            12/1/2010          1/27/2011            3/18/2011
      How did increased competition affect credit ratings?
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73 Thomas Gilbert                                                                                       10/19/2010                                10/19/2010            12/1/2010          1/20/2011            2/16/2011
      Information aggregation around macroeconomic announcements: Revisions matter
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74 Dave Berger; Kuntara Pukthuanthong and J. Jimmy Yang                                                 10/13/2010         10/28/2010                                  12/28/2010          1/20/2011             2/3/2011
      International diversification with frontier markets
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75 Suleyman Basak and Dmitry Makarov                                                                    10/13/2010         10/16/2010                                   12/1/2010          1/21/2011
      Difference in interim performance and risk taking with short-sale constraints
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76 Onur Bayar; Thomas J. Chemmanur and Mark H. Liu                                                       9/30/2010         10/12/2010                                  11/23/2010          1/20/2011            2/23/2011
      A theory of equity carve-outs and negative stub values under heterogeneous beliefs
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77 Henk Berkman; Ben Jacobsen and John Lee                                                               9/27/2010         10/10/2010                                  11/23/2010          1/14/2011            2/24/2011
      Time-varying rare disaster risk and stock returns
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78 Leonce Bargeron; Manoj Kulchania and Shawn E. Thomas                                                  9/15/2010          9/16/2010                                  11/23/2010           1/6/2011             2/3/2011
      Accelerated share repurchases
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79 Olubunmi Faleye; Rani Hoitash and Udi Hoitash                                                         9/15/2010          9/24/2010                                  11/23/2010          1/26/2011            2/15/2011
      The costs of intense board monitoring
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80 Amit Seru                                                                                             9/13/2010
      Firm boundaries matter: Evidence from conglomerates and R&D activity
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                Author(s) and Title                                                                  Decision Date       Accepted with      Accept Outright Date        Sent to        Sent to Author Sent to Publisher
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81 Paolo Guasoni; Gur Huberman and Zhenyu Wang                                                           9/13/2010                                 9/13/2010            12/1/2010          1/27/2011            3/18/2011
      Performance maximization of actively managed funds
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82 Adair Morse                                                                                            9/7/2010          9/23/2010                                  10/26/2010          2/24/2011            3/23/2011
      Payday lenders: Heroes or villains?
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83 Pankaj K. Maskara and Donald J. Mullineaux                                                             9/2/2010          9/28/2010                                  11/23/2010          1/25/2011            3/22/2011
      Bank loans, information asymmetry, and loan announcement decisions
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84 T. Colin Campbell; Michael F. Gallmeyer; Shane A. Johnson; Jessica Ruth 9/2/2010                                         9/10/2010                                  11/23/2010         12/29/2010             3/1/2011
      CEO optimism and forced turnover
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85 Alexander Edwards and Terry Shevlin                                                                   8/30/2010          9/14/2010                                  10/29/2010          1/27/2011             3/1/2011
      The value of a flow-through entity in an integrated corporate tax system
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86 Maureen O'Hara and Mao Ye                                                                             8/26/2010          8/30/2010                                  10/29/2010         12/30/2010             2/3/2011
      Is market fragmentation harming market quality?
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87 Miguel A. Ferreira and Pedro Santa-Clara                                                              8/13/2010          8/18/2010                                  10/29/2010         12/29/2010             2/3/2011
      Forecasting stock market returns: The sum of the parts is more than the whole
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88 Elena Loutskina                                                                                       8/13/2010          8/17/2010                                  10/29/2010           1/4/2011             2/3/2011
      The role of securitization in bank liquidity and funding management
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89 Rob Alessie; Annamaria Lusardi and Maarten van Rooij                                                   8/2/2010         11/29/2010                                   1/24/2011           2/4/2011             3/1/2010
      Financial literacy and stock market participation
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                                         Paper                                                                                                          Progress
                Author(s) and Title                                                                  Decision Date       Accepted with      Accept Outright Date        Sent to        Sent to Author Sent to Publisher
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90 John M. Bizjak; Michael L. Lemmon and Thanh Nguyen                                                    7/27/2010          8/26/2010                                  10/20/2010          12/6/2010             2/3/2011
      Are all CEOs above average? An empirical analysis of compensation peer groups and pay design
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91 Ilan Cooper and Richard Priestley                                                                     7/27/2010          8/16/2010                                  10/20/2010          12/6/2010             2/3/2011
      Real investment and risk dynamics
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92 David F. Larcker; Gaizka Ormazabal and Daniel Taylor                                                  7/27/2010         10/14/2010                                   12/1/2010          1/20/2011             3/1/2011
      The market reaction to corporate governance regulation
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93 Jeong-Bon Kim; Yinghua Li and Liandong Zhang                                                          7/27/2010          7/27/2010                                  10/20/2010          12/6/2010             2/3/2011
      Corporate tax avoidance and stock price crash risk: Firm-level analysis
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94 Xuan Tian                                                                                             7/23/2010                                 7/23/2010            9/14/2010         10/20/2010            2/15/2011
      The causes and consequences of venture capital stage financing
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95 Theodore E. Day; George Z. Li and Yexiao Xu                                                           7/21/2010           8/9/2010                                  10/20/2010         11/17/2010            1/14/2011
      Dividend distributions and closed-end fund discounts
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96 Lucian A Bebchuk; Martijn Cremers and Urs C. Peyer                                                    7/20/2010           9/3/2010                                  10/29/2010         12/29/2010
      The CEO pay slice
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97 Omesh Kini; Bharat Jain and Jaideep Shenoy                                                            7/14/2010                                 7/14/2010            9/28/2010          11/3/2010            1/14/2011
      Vertical divestitures through equity carve-outs and spin-offs: A product markets perspective
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98 Warren B. Bailey; Alok Kumar and David Ng                                                              7/9/2010          7/16/2010                                   9/28/2010          11/3/2010            1/14/2011
      Behavioral biases of mutual fund investors
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                                         Paper                                                                                                          Progress
                Author(s) and Title                                                                  Decision Date       Accepted with      Accept Outright Date        Sent to        Sent to Author Sent to Publisher
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99 Chen Lin; Yue Ma and Yuhai Xuan                                                                        7/1/2010           7/8/2010                                   9/14/2010          10/5/2010
      Ownership structure and financial constraints: Evidence from a structural estimation
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100 Gjergji Cici; Scott Gibson and John J. Merrick                                                       6/28/2010          7/14/2010                                   9/28/2010          11/3/2010             2/3/2011
      Missing the marks? Dispersion in corporate bond valuation across mutual funds
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101 Oliver Boguth; Murray Carlson; Adlai J. Fisher and Mikhail Simutin                                   6/22/2010           9/3/2010                                  10/29/2010         12/30/2010
      Conditional risk and performance evaluation: Volatility timing, overconditioning, and new estimates of momentum alphas
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102 Nishad Kapadia                                                                                       6/14/2010          6/24/2010                                   9/14/2010         10/20/2010
      Tracking down distress risk
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103 Gurdip Bakshi; George Panayotov and Georgios Skoulakis                                                6/4/2010          7/31/2010                                  10/20/2010          11/3/2010            1/14/2011
      Improving the predictability of real economic activity and asset returns with forward variances inferred from option portfolios
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104 Alexander W. Butler; Jess Cornaggia; Gustavo Grullon and James P. Wes 6/4/2010                                          6/21/2010                                   8/19/2010          10/6/2010            1/14/2011
      Corporate financing decisions, managerial market timing, and real investment
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105 Manju Puri; Jorg Rocholl and Sascha Steffen                                                           6/4/2010          6/15/2010                                   8/19/2010         10/13/2010            12/8/2010
      Global retail lending in the aftermath of the US financial crisis: Distinguishing between supply and demand effects
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106 Pasquale Della-Corte; Lucio Sarno and Ilias Tsiakas                                                   6/1/2010          6/10/2010                                   8/16/2010          9/28/2010            1/26/2011
      Spot and forward volatility in foreign exchange
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107 Domenico Cuoco and Ron Kaniel                                                                         6/1/2010          6/28/2010                                   9/14/2010          10/4/2010            2/15/2011
      Equilibrium prices in the presence of delegated portfolio management
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                                         Paper                                                                                                          Progress
                Author(s) and Title                                                                  Decision Date       Accepted with      Accept Outright Date        Sent to        Sent to Author Sent to Publisher
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108 Jason Kotter and Ugur Lel                                                                            5/13/2010          5/27/2010                                   7/21/2010         10/13/2010             3/1/2011
      Friends or foes? Target selection decisions of sovereign wealth funds and their consequences
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109 Harrison Hong and Leonard Kostovetsky                                                                4/15/2010           5/7/2010                                   7/1/2010           9/29/2010            1/26/2011
      Red and blue investing: Values and finance
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110 Viral V. Acharya; Yakov Amihud and Lubomir P. Litov                                                  4/12/2010          4/15/2010                                   7/20/2010          8/18/2010            4/14/2011
      Creditor rights and corporate risk-taking
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111 Luca Benzoni; Pierre Collin-Dufresne and Robert Goldstein                                            4/12/2010           6/7/2010                                   8/16/2010          8/31/2010            1/26/2011
      Explaining asset pricing puzzles associated with the 1987 market crash
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112 Azi Ben-Rephael; Shmuel Kandel and Avi Wohl                                                           3/2/2010          3/19/2010                                   6/22/2010          7/16/2010            8/25/2010
      Measuring investor sentiment with mutual fund flows
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113 Robert Novy-Marx                                                                                      2/9/2010          2/19/2010                                   5/19/2010          7/16/2010
      Is momentum really momentum?
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114 Ron Kaniel; Arzu Ozoguz and Laura Starks                                                             1/29/2010          8/25/2010                                  10/20/2010         11/11/2010
      The high volume return premium: Cross country evidence
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115 Martin Lettau and Jessica A. Wachter                                                                 10/2/2009           4/5/2010                                   7/20/2010          8/11/2010            2/16/2011
      The term structures of equity and interest rates
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116 Anthony W. Lynch and Sinan Tan                                                                        4/1/2009          5/12/2010                                   7/21/2010          9/29/2010             3/1/2011
      Labor income dynamics at business-cycle frequencies: Implications for portfolio choice
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117 Jonathan Lewellen                                                                                     3/2/2009                                                      8/19/2009         10/28/2009
      Institutional investors and the limits of arbitrage
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