Todd Mitton
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Education
- PhD, Financial Economics, Massachusetts Institute of Technology, 2000
- MBA, Brigham Young University, 1993
- BA, Economics, Brigham Young University, 1990
Selected Publications
- "Methodological variation in empirical corporate finance", Review of Financial Studies, Volume 35, Pages 527-575, 2022
- "The value of connections in turbulent times: Evidence from the United States", (with D. Acemoglu, S. Johnson, A. Kermani, and J. Kwak), Journal of Financial Economics, Volume 121, Pages 368-391, 2016
- "Expected idiosyncratic skewness", (with B. Boyer and K. Vorkink), Review of Financial Studies, Volume 23, Pages 169-202, 2010
- "Determinants of vertical integration: Financial development and contracting costs", (with D. Acemoglu and S. Johnson), Journal of Finance, Volume 64, Pages 1251-1290, 2009
- "Equilibrium underdiversification and the preference for skewness", (with K. Vorkink), Review of Financial Studies, Volume 20, Pages 1255-1288, 2007
- "Stock market liberalization and operating performance at the firm level", Journal of Financial Economics, Volume 81, Pages 625-647, 2006
- "Cronyism and capital controls: Evidence from Malaysia", (with S. Johnson), Journal of Financial Economics, Volume 67, Pages 351-382, 2003
- "A cross-firm analysis of the impact of corporate governance on the East Asian financial crisis", Journal of Financial Economics, Volume 64, Pages 215-241, 2002
Languages
- Spanish