Rchr
J-GLOBAL ID:200901026465878441   Update date: Mar. 18, 2024

Arikawa Yasuhiro

アリカワ ヤスヒロ | Arikawa Yasuhiro
Affiliation and department:
Research field  (1): Money and finance
Research keywords  (1): Corporate Finance, Corporate Governance, Economics of Firms
Research theme for competitive and other funds  (18):
  • 2022 - 2026 Corporate Governance Reform, Restructuring and Managerial Biases
  • 2019 - 2024 Corporate Governance Reforms and their Consequences: Engagement, Alignment and Distribution of Authorities
  • 2017 - 2021 Corporate governance: exits and profitability
  • 2015 - 2020 企業統治と企業成長:変容する日本の企業統治の理解とその改革に向けて
  • 2015 - 2019 Corporate Governance, Firm Behavior, and Firm Performance: International Comparison
Show all
Papers (23):
  • Yasuhiro Arikawa, Vikas Mehrotra. Distribution of Long-run Stock Returns: Evidence from Japan and the US. RIETI Discussion Paper Series 21-E-084. 2021
  • Yutaro Shiraishi, Naoshi Ikeda, Yasuhiro Arikawa, Kotaro Inoue. Stewardship Code, Institutional Investors, and Firm Value: International Evidence. RIETI Discussion Paper Series 19-E-077. 2019
  • Yasuhiro Arikawa, Kotaro Inoue, Takuji Saito. Corporate Governance, Employment, and Financial Performance of Japanese firms: A cross-country analysis. RIETI Discussion Paper Series 18-E-084. 2018
  • Yasuhiro Arikawa, Atsushi Kato. Cross Shareholding and Initiative Effects. Asian Economic and Financial Review. 2015. Vol. 5. No. 2. 305-319
  • Yasuhirio Arikawa, Hideaki Miyajima. The Bank-Firm Relationship in Japan: From A Historical Perspectives. Organizational Science. 2015. 49. 1. 19-31
more...
MISC (3):
  • 書評:朝岡大輔著『企業のアーキテクチャー -コーポレートガバナンス改革のゆくえ』. 金融経済研究. 2024. 47. 101-103
  • 宮島英昭, 蟻川靖浩. 金融自由化と企業の負債選択--1980年代における顧客プールの劣化. フィナンシャル・レビュー. 1999. 49. 133-166
  • 宮島 英昭, 蟻川 靖浩. バブル崩壊後の負債選択--リスク要因の上昇とEntrenchmentの後退 (特集 社債市場の新潮流). 証券アナリストジャ-ナル. 1999. 37. 3. 3-18
Books (16):
  • 「日本企業の低パフォーマンスの要因ー国際比較による検証」『企業統治と成長戦略』宮島英昭編著、pp397-427、2017年
    2017
  • 「メガバンク成立後の企業・銀行関係」『企業統治と成長戦略』宮島英昭編著、pp63-96、2017年
    2017
  • 「コーポレートガバナンスとリスク・マネジメント:解説」『変容するアジアと日米関係』吉野孝監修、蟻川靖浩/浦田秀次郎/谷内正太郎/柳井俊二編著、pp161-171
    東洋経済新報社 2012 ISBN:9784492211977
  • 「R&D投資と資金調達・所有構造」日本の企業統治』宮島英昭編著、pp341-366
    東洋経済新報社 2011 ISBN:9784492532898
  • Financial systems and economic development: The Case in Japan,” in Koichi Hamada, Keijiro Otsuka, Gustav Ranis and Ken Togo (eds.), Miraculous Growth and Stagnation in Post-War Japan (Routledge Studies in the Modern World Economy)pp.40-pp.53
    Routledge 2011 ISBN:9780415615181
more...
Lectures and oral presentations  (10):
  • Distribution of Long-run Stock Returns: Evidence from Japan and the US
    (The 35th Asian Finance Association Annual Meeting 2023)
  • Distribution of Long-run Stock Returns: Evidence from Japan and the US
    (JFA-PBFJ Special Issue Conference 2022)
  • Capital Structure Adjustment in Emerging Markets: Evidence from Vietnam
    (2021)
  • Institutional Investors, Stewardship Code, and Corporate Performance: International Evidence
    (The 31st Asian Finance Association Annual Meeting 2019)
  • Institutional investors, stewardship code, and corporate performance: International evidence
    (NFA 27th Annual Conference 2019)
more...
Association Membership(s) (4):
The American Finance Association ,  日本金融学会 ,  日本ファイナンス学会 ,  日本経済学会
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