| Why firms use currency derivatives C Géczy, BA Minton, C Schrand the Journal of Finance 52 (4), 1323-1354, 1997 | 2105 | 1997 |
| Appointments of outsiders to Japanese boards: Determinants and implications for managers SN Kaplan, BA Minton Journal of financial economics 36 (2), 225-258, 1994 | 1542 | 1994 |
| The impact of cash flow volatility on discretionary investment and the costs of debt and equity financing BA Minton, C Schrand Journal of financial economics 54 (3), 423-460, 1999 | 1383 | 1999 |
| How has CEO turnover changed? SN Kaplan, BA Minton International review of Finance 12 (1), 57-87, 2012 | 821 | 2012 |
| Financial Expertise of the Board, Risk Taking and Performance: Evidence from Bank Holding Companies BA Minton, J Taillard, R Williamson Journal of Financial and Quantitative Analysis 49 (2), 351, 2014 | 562 | 2014 |
| Resolving the exposure puzzle: The many facets of exchange rate exposure SM Bartram, GW Brown, BA Minton Journal of Financial Economics 95 (2), 148-173, 2010 | 459 | 2010 |
| How much do banks use credit derivatives to hedge loans? BA Minton, R Stulz, R Williamson Journal of Financial Services Research 35 (1), 1-31, 2009 | 379 | 2009 |
| Taking a view: Corporate speculation, governance, and compensation CC Géczy, BA Minton, CM Schrand The Journal of Finance 62 (5), 2405-2443, 2007 | 352 | 2007 |
| Syndicated loan spreads and the composition of the syndicate J Lim, BA Minton, MS Weisbach Journal of Financial Economics 111 (1), 45-69, 2014 | 270 | 2014 |
| Interest-rate derivatives and bank lending E Brewer III, BA Minton, JT Moser Journal of Banking & Finance 24 (3), 353-379, 2000 | 212 | 2000 |
| Do independence and financial expertise of the board matter for risk taking and performance? BA Minton, J Taillard, R Williamson Available at SSRN 1787126, 2011 | 205 | 2011 |
| An empirical examination of basic valuation models for plain vanilla US interest rate swaps BA Minton Journal of Financial Economics 44 (2), 251-277, 1997 | 155 | 1997 |
| The role of volatility in forecasting BA Minton, CM Schrand, BR Walther Review of Accounting Studies 7 (2), 195-215, 2002 | 135 | 2002 |
| Former CEO directors: lingering CEOs or valuable resources? R Fahlenbrach, BA Minton, CH Pan The Review of Financial Studies 24 (10), 3486-3518, 2011 | 117 | 2011 |
| Are larger banks valued more highly? BA Minton, RM Stulz, AG Taboada National Bureau of Economic Research, 2017 | 46 | 2017 |
| The use of multiple risk management strategies: Evidence from the natural gas industry CC Géczy, BA Minton, C Schrand The Journal of Risk 8 (3), 1, 2006 | 26 | 2006 |
| Institutional Investments in Pure Play Stocks and Implications for Hedging Decisions BA Minton, C Schrand Journal of Corporate Finance 37, 132-151, 2016 | 16 | 2016 |