GIULIANO ANTONIO CURATOLA
Title
Cited by
Cited by
Year
Loss aversion, habit formation and the term structures of equity and interest rates
G Curatola
Journal of Economic Dynamics and Control 53, 103-122, 2015
252015
Investor sentiment and sectoral stock returns: Evidence from World Cup games
G Curatola, M Donadelli, R Kizys, M Riedel
Finance Research Letters 17, 267-274, 2016
212016
Direct and indirect risk-taking incentives of inside debt
S Colonnello, G Curatola, NG Hoang
Journal of Corporate Finance 45, 428-466, 2017
182017
Direct and indirect risk-taking incentives of inside debt
S Colonnello, G Curatola, NG Hoang
Journal of Corporate Finance 45, 428-466, 2017
182017
Pricing sin stocks: Ethical preference vs. risk aversion
S Colonnello, G Curatola, A Gioffré
European Economic Review 118, 69-100, 2019
82019
Optimal portfolio choice with loss aversion over consumption
G Curatola
The Quarterly Review of Economics and Finance 66, 345-358, 2017
82017
Divergent Risk-Attitudes and Endogenous Collateral Constraints
G Curatola, E Faia
Centre for Economic Policy Research, 2016
52016
Consumption risk, preference heterogeneity and asset prices
G Curatola, R Marfè
Preference Heterogeneity and Asset Prices (September 1, 2012), 2012
42012
Portfolio choice and asset prices when preferences are interdependent
G Curatola
Journal of Economic Behavior & Organization 140, 197-223, 2017
32017
Executive compensation structure and credit spreads
S Colonnello, G Curatola, NG Hoang
Univ.-Bibliothek Frankfurt am Main, 2014
32014
Catching up with the Joneses under preference heterogeneity: an exact solution
G Curatola, R Marfè
Unpublished manuscript Swiss Finance Institute 7, 17-20, 2011
32011
Abandon Ship: Deferred Compensation and Risk-Taking Incentives in Bad Times
DR Cambrea, S Colonnello, G Curatola, G Fantini
22017
CEO investment of deferred compensation plans and firm performance
DR Cambrea, S Colonnello, G Curatola, G Fantini
Journal of Business Finance & Accounting 46 (7-8), 944-976, 2019
12019
Portfolio Choice of Large Investors Who Interact Strategically
G Curatola
Available at SSRN 3404491, 2019
12019
Preference evolution and the dynamics of capital markets
G Curatola
SAFE Working Paper, 2016
12016
Matching the BRIC equity premium: A structural approach
G Curatola, M Donadelli, P Grüning
Emerging Markets Review 22, 65-75, 2015
12015
Austerity, fiscal uncertainty, and economic growth: Insights from fiscally weak EU countries
G Curatola, M Donadelli, A Gioffré, P Grüning
SAFE Working Paper, 2014
12014
Austerity, fiscal volatility, and economic growth
G Curatola, M Donadelli, A Goiffré, P Grüning
Univ.-Bibliothek Frankfurt am Main, 2014
12014
Asset Prices with Heterogeneous Loss Averse Investors
G Curatola
Available at SSRN 2088763, 2012
12012
Technology trade with asymmetric tax regimes and heterogeneous labour markets: Implications for macro quantities and asset prices
PG Giuliano Curatola, Michael Donadelli
International journal of finance and economics, 2020
2020
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Articles 1–20