|
Creditor-Control Rights and the Nonsynchronicity of Global CDS Markets
|
Review of Corporate Finance Studies |
2025 |
A* |
|
International Corporate Finance: An Overview and Future Directions
|
Corporate Finance Review |
2025 |
C |
|
Stock Return Prediction Based on a Functional Capital Asset Pricing Model
|
Journal of Forecasting |
2025 |
A |
|
Global board reforms and corporate acquisition performance
|
Journal of Corporate Finance |
2024 |
A* |
|
The bright side of bank lobbying: Evidence from the corporate loan market
|
Journal of Corporate Finance |
2024 |
A* |
|
The price of corporate social irresponsibility in seasoned equity offerings: International evidence
|
British Accounting Review |
2024 |
A* |
|
Closer than ever: Growing business-level connections between Australia and Europe
|
European Management Journal |
2023 |
B |
|
COVID-19 Pandemic and Global Corporate CDS Spreads
|
Journal of Banking & Finance |
2023 |
A* |
|
Foreign Ties That Bind: Cross-Border Firm Expansions and Fund Portfolio Allocation Around the World
|
Journal of Financial and Quantitative Analysis |
2023 |
A* |
|
Regulation and information costs of sovereign distress: Evidence from corporate lending markets
|
Journal of Corporate Finance |
2023 |
A* |
|
The real effects of corruption on M&A flows: Evidence from China's anti-corruption campaign
|
Journal of Banking & Finance |
2023 |
A* |
|
Crises, lending and regulations
|
Journal of Financial Stability |
2022 |
A |
|
Mind the Sovereign Ceiling on Corporate Performance
|
Journal of Corporate Finance |
2022 |
A* |
|
What Moves Stock Prices? The Roles of News, Noise, and Information
|
The Review of Financial Studies |
2022 |
A* |
|
Loan syndication under Basel II: How do firm credit ratings affect the cost of credit?
|
Journal of International Financial Markets, Institutions and Money |
2021 |
A |
|
On the International Spillover Effects of Country-Specific Financial Sector Bailouts and Sovereign Risk Shocks*
|
The Economic Record |
2021 |
A |
|
Regulators vs. markets: Are lending terms influenced by different perceptions of bank risk?
|
Journal of Banking & Finance |
2021 |
A* |
|
The game changer: Regulatory reform and multiple credit ratings
|
Journal of Banking & Finance |
2021 |
A* |
|
The Impact of Risk-based Capital Rules for International Lending on Income Inequality: Global Evidence
|
Economic Modelling |
2021 |
A |
|
The real impact of ratings-based capital rules on the finance-growth nexus
|
International Review of Financial Analysis |
2021 |
A |
|
A cautionary tale of two extremes: The provision of government liquidity support in the banking sector
|
Journal of Financial Stability |
2020 |
A |
|
Does Investor Sentiment Affect the Value Relevance of Accounting Information?
|
Abacus |
2020 |
A |
|
Shareholder litigation rights and corporate acquisitions
|
Journal of Corporate Finance |
2020 |
A* |
|
The impact of government guarantees on banks' wholesale funding costs and lending behavior: Evidence from a natural experiment
|
Pacific-Basin Finance Journal |
2020 |
A |
|
Tournament Incentives and Acquisition Performance
|
Review of Corporate Finance Studies |
2020 |
A* |
|
Foreign direct investments from emerging markets: The push-pull effects of sovereign credit ratings
|
International Review of Financial Analysis |
2019 |
A |
|
Analyst coverage and the quality of corporate investment decisions
|
Journal of Corporate Finance |
2018 |
A* |
|
Are all insiders on the inside? Evidence from the initiation of CDS trading and short selling in the financial sector
|
Journal of International Financial Markets, Institutions and Money |
2018 |
A |
|
Exchange trading rules, governance, and trading location of cross-listed stocks
|
The European Journal of Finance |
2018 |
A |
|
Immunity and Infection: Emerging and Developed Market Sovereign Spreads over the Global Financial Crisis
|
Emerging Markets Review |
2018 |
A |
|
What moves benchmark money market rates? Evidence from the BBSW market
|
Pacific-Basin Finance Journal |
2018 |
A |
|
Who exacerbates the extreme swings in the Chinese stock market?
|
International Review of Financial Analysis |
2018 |
A |
|
Funding liquidity and bank risk taking
|
Journal of Banking & Finance |
2017 |
A* |
|
The value of bank capital buffers in maintaining financial system resilience
|
Journal of Financial Stability |
2017 |
A |
|
The value of home-country governance for cross-listed stocks
|
The European Journal of Finance |
2017 |
A |
|
Does national culture affect the intensity of volatility linkages in international equity markets?
|
Research in International Business and Finance |
2016 |
B |
|
Stock and currency market linkages: New evidence from realized spillovers in higher moments
|
International Review of Economics |
2016 |
C |
|
The anatomy of sovereign risk contagion
|
Journal of International Money and Finance |
2016 |
A |
|
The roles of past returns and firm fundamentals in driving U.S stock price movements
|
International Review of Financial Analysis |
2016 |
A |
|
Do Sovereign Re-Ratings Destabilize Equity Markets during Financial Crises? New Evidence from Higher Return Moments
|
International Journal of Accounting and Business Finance |
2015 |
C |
|
Fear or fundamentals? Heterogeneous beliefs in the European sovereign CDS market
|
Journal of Empirical Finance |
2015 |
A |
|
Sovereign credit ratings, growth volatility and the global financial crisis
|
Applied Economics |
2015 |
A |
|
The effects of ratings-contingent regulation on international bank lending behavior: Evidence from the Basel 2 Accord
|
Journal of Banking & Finance |
2015 |
A* |
|
The role of macroeconomic news in sovereign CDS markets: Domestic and spillover news effects from the U.S., the Eurozone and China
|
Journal of Financial Stability |
2015 |
A |
|
How does trading volume affect financial return distributions?
|
International Review of Financial Analysis |
2014 |
A |
|
The effects of sovereign rating drifts on financial return distributions: Evidence from the European Union
|
International Review of Financial Analysis |
2014 |
A |
|
Emerging Stars and Developed Neighbors: The Effects of Development Imbalance and Political Shocks on Mutual Fund Investments in China
|
Financial Management |
2013 |
A |
|
Do sovereign credit ratings influence regional stock and bond market interdependencies in emerging countries?
|
Journal of International Financial Markets, Institutions and Money |
2012 |
A |
|
Realizing the volatility impacts of sovereign credit ratings information on currency and equity markets: Evidence from the Asian Financial Crisis
|
Research in International Business and Finance |
2012 |
B |
|
International bank flows to emerging markets: Influence of sovereign credit ratings and their regional spillover effects
|
Journal of Financial Research |
2011 |
A |
|
Model specification and IPO performance: New insights from Asia
|
Research in International Business and Finance |
2010 |
B |
|
Foreign exchange exposure: Evidence from the U.S. insurance industry
|
Journal of International Financial Markets, Institutions and Money |
2009 |
A |
|
The value of stock analysts' recommendations in emerging markets'
|
International Review of Financial Analysis |
2009 |
A |
|
Time-varying market integration and stock and bond return concordance in emerging markets
|
Journal of Banking & Finance |
2009 |
A* |
|
Sovereign credit ratings, capital flows and financial sector development in emerging markets
|
Emerging Markets Review |
2008 |
A |
|
Dynamics of bond market integration between established and accession European Union countries
|
Journal of International Financial Markets, Institutions and Money |
2006 |
A |
|
Evolution of international stock and bond market integration: Influence of the European Monetary Union
|
Journal of Banking & Finance |
2006 |
A* |
|
Dynamic stock market integration driven by the European Monetary Union: An empirical analysis
|
Journal of Banking & Finance |
2005 |
A* |