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Adriano A. Rampini

Douglas and Josie Breeden Professor of Financial Economics
Professor
of Finance and Economics
Ph.D., University of Chicago

 

Working Papers

Financing the adoption of clean technology, with Andrea Lanteri. [Paper]

Collateral and secured debt, with S. Viswanathan. [Paper] [Slides]

Financing insurance, with S. Viswanathan. [Previously titled: Household risk management.] [Paper] [NBER WP 22293] [Video of Presentation] [Slides]

Sequential lifting of COVID-19 interventions with population heterogeneity. [Paper] [NBER WP 27063]

Renting for development, with Robert M. Townsend. [Work in progress]

Publications

Constrained-efficient capital reallocation, with Andrea Lanteri, American Economic Review 113 (2023) 354-395. [Paper] [Published Article] [NBER WP 28384] [Video of Presentation] [Slides]

[Retracted] Risk management in financial institutions, with S. Viswanathan and Guillaume Vuillemey, Journal of Finance 75 (2020) 591-637. [Paper] [Published Article] [Internet Appendix] [NBER WP 25698] [Slides] [Lead article] [Brattle Group Distinguished Paper Prize in Corporate Finance, Returned]

Financing durable assets, American Economic Review 109 (2019) 664-701. [Paper] [Published Article] [NBER WP 22324] [Video of Presentation] [Slides]

Financial intermediary capital, with S. Viswanathan, Review of Economic Studies 86 (2019) 413-455. [Paper] [Published Article] [NBER WP 23302] [Slides]

Dynamic risk management, with Amir Sufi and S. Viswanathan, Journal of Financial Economics 111 (2014) 271-296. [Paper] [Published Article] [Video of Presentation] [Slides] [Lead article]

Collateral and capital structure, with S. Viswanathan, Journal of Financial Economics 109 (2013) 466-492. [Paper] [Published Article] [Slides]

Collateral, risk management, and the distribution of debt capacity, with S. Viswanathan, Journal of Finance 65 (2010) 2293-2322. [Paper] [Published Article] [Slides]

Leasing, ability to repossess, and debt capacity, with Andrea L. Eisfeldt, Review of Financial Studies 22 (2009) 1621-1657. [Paper] [Published Article]

Managerial hedging and portfolio monitoring, with Alberto Bisin and Piero Gottardi, Journal of the European Economic Association 6 (2008) 158-209. [Paper] [Published Article]

Managerial incentives, capital reallocation, and the business cycle, with Andrea L. Eisfeldt, Journal of Financial Economics 87 (2008) 177-199. [Paper] [Published Article] [Jensen Prize for Corporate Finance and Organizations 2008 Second Prize]

New or used? Investment with credit constraints, with Andrea L. Eisfeldt, Journal of Monetary Economics 54 (2007) 2656-2681. [Paper] [Appendix] [Published Article]

Markets as beneficial constraints on the government, with Alberto Bisin, Journal of Public Economics 90 (2006) 601-629. [Paper] [Published Article]

Capital reallocation and liquidity, with Andrea L. Eisfeldt, Journal of Monetary Economics 53 (2006) 369-399. [Paper] [Published Article] [Lead article]

Exclusive contracts and the institution of bankruptcy, with Alberto Bisin, Economic Theory 27 (2006) 277-304. [Paper] [Published Article] [Lead article]

Default and aggregate income, Journal of Economic Theory 122 (2005) 225-253. [Paper] [Published Article]

Entrepreneurial activity, risk, and the business cycle, Journal of Monetary Economics 51 (2004) 555-573. [Paper] [Published Article] [Reprinted in: Simon C. Parker, ed. (2011): Entrepreneurship in Recession, The International Library of Entrepreneurship Series 20 (Edward Elgar, Williston, VT).]

Published Discussion

Discussion of "From search to match: When loan contracts are too long," Journal of Money, Credit and Banking 43 Supplement (2011) 413-417. [Paper] [Published Discussion]

Lecture Notes

Methods lecture, Macro Finance Society Workshop, 2023. [Collateral and Capital Reallocation]

Practitioner talk, Fuqua LinkedIn Live, 2021. [The Risk Management Paradox]

Graduate lecture, FTG Summer School, 2017. [Lecture Syllabus] [Lecture Notes on Collateral and Intermediation in Equilibrium] [Video of Lecture]

Graduate lecture, FTG Summer School, 2015. [Lecture Syllabus] [Lecture Notes on Dynamic Collateralized Finance] [Video of Lecture]

Undergraduate course, Econ 1760, Harvard University, 2013. [Lecture Notes on Collateral and Rental Markets], [Lecture Notes on Risk Management].

Other Working Papers and Work in Progress

Financing shortfalls and the value of aggregate liquidity, with Andrea L. Eisfeldt. [Paper]

A government failure theory of government, with Alberto Bisin.

A Mirrleesian theory of Ramsey taxation, with Alberto Bisin.

Selected Professional Service

Area Coordinator, Duke finance area, 2022-present.

President, Foundation for Advancement of Research in Financial Economics (FARFE), 2018-present, and Director, 2016-2019.

President, Financial Intermediation Research Society (FIRS), 2023-present; Vice President, 2022-2023; Vice President Elect, 2021-2022; and Director, 2019-2022.

Co-Organizer, Finance Theory Webinar (FTWebinar), 2020-present (with Briana Chang, Wisconsin; Barney Hartman-Glaser, UCLA; and Peter Kondor, LSE).

Associate Editor, Journal of Finance, 2018-2021.

President, Finance Theory Group (FTG), 2013-2014, and Board Member, 2011-2014.

Director, Western Finance Association (WFA), 2013-2016.

Organizer, NBER Corporate Finance Program Meeting, Spring 2017, Chicago, IL (with Martin Oehmke, LSE).

Organizer, CEPR European Summer Symposium in Financial Markets Corporate Finance Week, 2012 & 2013, Gerzensee, Switzerland.