"Are Corporations Reducing or Taking Risks with Derivatives?"

Hentschel, Ludger and S.P. Kothari. Journal of Financial and Quantitative Analysis Vol. 36, No. 1 (2001): 93-118.

"Role of Financial Reporting in Reducing Financial Risks in the Market."

S.P. Kothari. In Building an Infrastructure for Financial Stability, edited by Eric S. Rosengren and John S. Jordan. Boston, MA: June 2000.

"Discussion of “The Relation Between Analysts' Forecasts of Long-Term Earnings Growth and Stock Price Performance Following Equity Officering."

Kothari, S.P. Contemporary Accounting Research Vol. 17, No. 1 (2000): 33-39.

"Beta and Book-to-Market: Is the Glass Half Full or Half Empty."

Kothari, S.P. and Jay Shanken. In Security Market Imperfections in Worldwide Equity Markets, 44-64. Cambridge, U.K: Cambridge University Press, 2000.

"The Effect of International Institutional Factors on Properties of Accounting Earnings."

Ball, Ray, S.P. Kothari and Ashok Robin. Journal of Accounting & Economics Vol. 29, No. 1 (2000): 1-51.

"The Relation Between Earnings and Cash Flows."

Dechow, Patricia M., S.P. Kothari and Ross L. Watts. Journal of Accounting & Economics Vol. 25, No. 2 (1998): 133-168.

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