René M. Stulz

Active 1981–2020

87
Papers
63,172
Citations
83
h-index
86
i10-index

Citations

Citations per year for René M. Stulz1981: 1 citations1982: 3 citations1983: 4 citations1984: 6 citations1985: 8 citations1986: 8 citations1987: 5 citations1988: 15 citations1989: 11 citations1990: 16 citations1991: 18 citations1992: 26 citations1993: 21 citations1994: 29 citations1995: 60 citations1996: 39 citations1997: 47 citations1998: 72 citations1999: 80 citations2000: 98 citations2001: 96 citations2002: 120 citations2003: 164 citations2004: 129 citations2005: 127 citations2006: 158 citations2007: 141 citations2008: 157 citations2009: 163 citations2010: 163 citations2011: 176 citations2012: 161 citations2013: 134 citations2014: 125 citations2015: 120 citations2016: 112 citations2017: 126 citations2018: 102 citations2019: 93 citations2020: 130 citations2021: 143 citations2022: 118 citations2023: 81 citations2024: 116 citations2025: 60 citations2026: 13 citations

Citation sources

Countries

World map of the countries and regions citing this authorUnited States: 1,610 citing papers, 39.6% of this breakdownUnited Kingdom: 323 citing papers, 7.9% of this breakdownChina: 267 citing papers, 6.6% of this breakdownCanada: 194 citing papers, 4.8% of this breakdownHong Kong: 147 citing papers, 3.6% of this breakdownAustralia: 130 citing papers, 3.2% of this breakdownBelgium: 108 citing papers, 2.7% of this breakdownGermany: 102 citing papers, 2.5% of this breakdownFrance: 86 citing papers, 2.1% of this breakdownNetherlands: 86 citing papers, 2.1% of this breakdownItaly: 73 citing papers, 1.8% of this breakdownSingapore: 69 citing papers, 1.7% of this breakdown
0%39.6%Other 21.4%

Fields

  • Business, Management and Accounting56.9%
  • Economics, Econometrics and Finance31.4%
  • Computer Science5.6%
  • Social Sciences2.3%
  • Decision Sciences2%
  • Engineering0.6%
  • Other1.2%

Topics

  • Corporate Finance and Governance18.9%
  • Financial Markets and Investment Strategies8.1%
  • Auditing, Earnings Management, Governance6.6%
  • Banking stability, regulation, efficiency5.6%
  • Financial Reporting and Valuation Research3.6%
  • Private Equity and Venture Capital3%
  • Other54.2%

Coauthors

All papers

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  1. Risk management, firm reputation, and the impact of successful cyberattacks on target firms

    Authors: , , , , - Journal of Financial Economics 2020 cited by 469

  2. FinTech, BigTech, and the Future of Banks

    Authors: - Journal of applied corporate finance 2019 cited by 262

  3. The Pricing of Options with Default Risk

    Authors: , - The Journal of Finance 1987 cited by 333

  4. Handbook of the Economics of Finance

    Authors: , , - 2013 cited by 1,866

  5. Firm size and the gains from acquisitions

    Authors: , , - Journal of Financial Economics 2004 cited by 2,435

  6. Enterprise Risk Management: Theory and Practice

    Authors: , - Journal of applied corporate finance 2006 cited by 640

  7. The Determinants of Firms' Hedging Policies

    Authors: , - Journal of Financial and Quantitative Analysis 1985 cited by 3,391

  8. Tobin's q, Corporate Diversification, and Firm Performance

    Authors: - Journal of Political Economy 1994 cited by 2,517

  9. Contagion and competitive intra-industry effects of bankruptcy announcements

    Authors: , - Journal of Financial Economics 1992 cited by 962

  10. What is the Impact of Successful Cyberattacks on Target Firms?

    Authors: , , , , - 2018 cited by 56

  11. The Limits of Financial Globalization

    Authors: - The Journal of Finance 2005 cited by 1,047

  12. Options on the minimum or the maximum of two risky assets

    Authors: - Journal of Financial Economics 1982 cited by 562

  13. Does the stock market make firms more productive?

    Authors: , , - Journal of Financial Economics 2019 cited by 202

  14. Managerial discretion and optimal financing policies

    Authors: - Journal of Financial Economics 1990 cited by 3,771

  15. Are Internal capital Markets Efficient?

    Authors: , - The Quarterly Journal of Economics 1998 cited by 1,127

  16. Access to capital, investment, and the financial crisis

    Authors: , - Journal of Financial Economics 2013 cited by 582

  17. Is Sell‐Side Research More Valuable in Bad Times?

    Authors: , - The Journal of Finance 2018 cited by 278

  18. Corporate Acquisitions, Diversification, and the Firm's Life Cycle

    Authors: , - The Journal of Finance 2015 cited by 206

  19. Leverage, investment, and firm growth

    Authors: , , - Journal of Financial Economics 1996 cited by 1,332

  20. GOLBALIZATION, CORPORATE FINANCE, AND THE COST OF CAPITAL

    Authors: - Journal of applied corporate finance 1999 cited by 1,320

  21. Does the Contribution of Corporate Cash Holdings and Dividends to Firm Value Depend on Governance? A Cross‐country Analysis

    Authors: , , - The Journal of Finance 2006 cited by 1,240

  22. Optimal Hedging Policies

    Authors: - Journal of Financial and Quantitative Analysis 1984 cited by 981

  23. Tobin's Q, Corporate Diversification and Firm Performance

    Authors: , - 1993 cited by 685

  24. Divestitures and the liquidity of the market for corporate assets

    Authors: , , - Journal of Financial Economics 2002 cited by 467