Iftekhar Hasan - Researcher Profile
Professor
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Publications Title Journal Name Year ABDC Ranking
Corporate Social Responsibility and Profit Shifting The European Accounting Review 2025 A*
Creditor-Control Rights and the Nonsynchronicity of Global CDS Markets Review of Corporate Finance Studies 2025 A*
How Do Banks Respond to Supplier IPOs? Financial Markets, Institutions and Instruments 2025 B
Political corruption, Dodd-Frank whistleblowing, and debt financing Journal of Corporate Finance 2025 A*
Predicting IPO first-day returns: Evidence from machine learning analyses* Journal of Banking & Finance 2025 A*
Tax authority attention and financial reporting International Journal of Banking, Accounting and Finance 2025 C
Aggregate Dynamics with Sectoral Price Stickiness Heterogeneity and Aggregate Real Shocks Journal of Money, Credit and Banking 2024 A*
Asymmetric Reactions of Abnormal Audit Fees Jump to Credit Rating Changes British Accounting Review 2024 A*
Banker directors on board and corporate tax avoidance Journal of Empirical Finance 2024 A
CHURCH MEMBERSHIP AND ECONOMIC RECOVERY: EVIDENCE FROM THE 2005 HURRICANE SEASON Asian Economic Journal 2024 B
Do markets value manager-investor interaction quality? Evidence from IPO returns Review of Quantitative Finance and Accounting 2024 B
Financial technologies and the effectiveness of monetary policy transmission European Economic Review 2024 A*
The bright side of bank lobbying: Evidence from the corporate loan market Journal of Corporate Finance 2024 A*
The Effects of Antitrust Laws on Horizontal Mergers: International Evidence Journal of Financial and Quantitative Analysis 2024 A*
Understanding CSR champions: a machine learning approach Annals of Operations Research 2024 A
Corporate culture and firm value: Evidence from crisis Journal of Banking & Finance 2023 A*
COVID-19 Pandemic and Global Corporate CDS Spreads Journal of Banking & Finance 2023 A*
Cultural norms and corporate fraud: Evidence from the Volkswagen scandal Journal of Corporate Finance 2023 A*
Cultural values of parent bank board members and lending by foreign subsidiaries: The moderating role of personal traits Journal of International Financial Markets, Institutions and Money 2023 A
Disentangling stock return synchronicity from the auditor's perspective International Journal of Accounting and Business Finance 2023 C
Economic preferences for risk-taking and financing costs Journal of Corporate Finance 2023 A*
Exploring accounting research topic evolution: An unsupervised machine learning approach Journal of International Accounting Research 2023 A
Gender pay gap in American CFOs: Theory and evidence Journal of Corporate Finance 2023 A*
Herding behavior and systemic risk in global stock markets Journal of Empirical Finance 2023 A
Institutions and Corporate Reputation: Evidence from Public Debt Markets Journal of Business Ethics 2023 A
Market-implied ratings and their divergence from credit ratings Journal of Financial Research 2023 A
Ownership structure and the cost of debt: Evidence from the Chinese corporate bond market Journal of Empirical Finance 2023 A
Political ties and the yield curve Economics Letters 2023 A
Regulation and information costs of sovereign distress: Evidence from corporate lending markets Journal of Corporate Finance 2023 A*
Short-selling threats and bank risk-taking: Evidence from the financial crisis Journal of Banking & Finance 2023 A*
Social capital and regional innovation: evidence from private firms in the US Regional Studies 2023 A*
State ownership and financial statement comparability International Journal of Accounting and Business Finance 2023 C
The effect of bank failures on small business loans and income inequality Journal of Banking & Finance 2023 A*
The geography of information: evidence from the public debt market Journal of Economic Geography 2023 A
The impact of lowering carbon emissions on corporate labour investment: A quasi-natural experiment Energy Economics 2023 A*
Bank failures, local business dynamics, and government policy Small Business Economics 2022 A
Banking Reform, Risk-Taking, and Accounting Quality: Evidence from Post-Soviet Transition States Journal of International Accounting Research 2022 A
Commitment or constraint? The effect of loan covenants on merger and acquisition activity Finance Research Letters 2022 A
Environmental reputational risk, negative media attention and financial performance Financial Markets, Institutions and Instruments 2022 B
Explicit deposit insurance design: International effects on bank lending during the global financial crisis✰ Journal of Financial Intermediation 2022 A*
External social networks and earnings management British Accounting Review 2022 A*
Firm social networks, trust, and security issuances The European Journal of Finance 2022 A
Gender, Credit, and Firm Outcomes Journal of Financial and Quantitative Analysis 2022 A*
Income, trading, and performance: Evidence from retail investors Journal of Empirical Finance 2022 A
On modeling IPO failure risk Economic Modelling 2022 A
Political ties and raising capital in global markets: Evidence from Yankee bonds Journal of Corporate Finance 2022 A*
Productivity, managers' social connections and the financial crisis Journal of Banking & Finance 2022 A*
Social Capital, Trusting, and Trustworthiness: Evidence from Peer-to-Peer Lending Journal of Financial and Quantitative Analysis 2022 A*
Stock liquidity and corporate labor investment Journal of Corporate Finance 2022 A*
The diplomacy discount in global syndicated loans Journal of International Money and Finance 2022 A
The effect of foreign institutional ownership on corporate tax avoidance: International evidence Journal of International Accounting, Auditing and Taxation 2022 B
The impact of overconfident customers on supplier firm risks Journal of Economic Behavior and Organization 2022 A*
Trust and contracting with foreign banks: Evidence from China Journal of Asian Economics 2022 B
Agency cost of CEO perquisites in bank loan contracts Review of Quantitative Finance and Accounting 2021 B
Are credit rating disagreements priced in the M&A market? Journal of International Financial Markets, Institutions and Money 2021 A
CEO Network Centrality and the Likelihood of Financial Reporting Fraud Abacus 2021 A
Consumer defaults and social capital⋆ Journal of Financial Stability 2021 A
Do activist hedge funds target female CEOs? The role of CEO gender in hedge fund activism Journal of Financial Economics 2021 A*
Do Banks Value Borrowers' Environmental Record? Evidence from Financial Contracts Journal of Business Ethics 2021 A
Does gender affect innovation? Evidence from female chief technology officers Research Policy 2021 A*
Executive Equity Risk-Taking Incentives and Firms’ Choice of Debt Structure Journal of Banking & Finance 2021 A*
Executives with customer experience and firm performance in the B2B context European Journal of Marketing 2021 A*
Finance-growth nexus and banking efficiency: The impact of microfinance institutions Journal of Economics and Business 2021 B
Financial analysts' career concerns and the cost of private debt Journal of Corporate Finance 2021 A*
Financing choice and local economic growth: evidence from Brazil Journal of Economic Growth 2021 A*
Global equity offerings and access to domestic loan market: U.S. evidence International Review of Financial Analysis 2021 A
Global syndicated lending during the COVID-19 pandemic Journal of Banking & Finance 2021 A*
Income inequality and minority labor market dynamics: Medium term effects from the Great Recession Economics Letters 2021 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
Local banks as difficult-to-replace SME lenders: Evidence from bank corrective programs Journal of Banking & Finance 2021 A*
Local product market competition and bank loans Journal of Corporate Finance 2021 A*
Military directors, governance and firm behavior Advances in Accounting 2021 A
Political Uncertainty and Bank Loan Contracts: Does Government Quality Matter? Journal of Financial Services Research 2021 A
Quid pro quo? Political ties and sovereign borrowing Journal of International Economics 2021 A*
Stock liquidity, empire building, and valuation Journal of Corporate Finance 2021 A*
Stock price fragility and the cost of bank loans Journal of Empirical Finance 2021 A
The impact of political uncertainty on institutional ownership Journal of Financial Stability 2021 A
The Impact of Risk-based Capital Rules for International Lending on Income Inequality: Global Evidence Economic Modelling 2021 A
The Influence of Bondholder Concentration and Temporal Orientation on Investments in R&D Journal of Management 2021 A*
The real impact of ratings-based capital rules on the finance-growth nexus International Review of Financial Analysis 2021 A
The state expropriation risk and the pricing of foreign earnings Journal of International Accounting Research 2021 A
VC Participation and failure of startups: Evidence from P2P lending platforms in China Finance Research Letters 2021 A
Who benefits from mandatory CSR? Evidence from the Indian Companies Act 2013 Emerging Markets Review 2021 A
Are bank capital requirements optimally set? Evidence from researchers’ views Journal of Financial Stability 2020 A
Bank accounting regulations, enforcement mechanisms, and financial statement informativeness: cross-country evidence Accounting and Business Research 2020 A
Banks' Equity Performance and the Term Structure of Interest Rates Financial Markets, Institutions and Instruments 2020 B
Comparing financial transparency between for-profit and nonprofit suppliers of public goods: Evidence from microfinance Journal of International Financial Markets, Institutions and Money 2020 A
Credit allocation when borrowers are economically linked: An empirical analysis of bank loans to corporate customers Journal of Corporate Finance 2020 A*
Cross-country evidence on the relationship between regulations and the development of the life insurance sector Economic Modelling 2020 A
Democracy and Credit Journal of Financial Economics 2020 A*
Finance and wealth inequality Journal of International Money and Finance 2020 A
Foreign bank ownership and income inequality: empirical evidence Applied Economics 2020 A
Investor relations and IPO performance Review of Accounting Studies 2020 A*
Is social capital associated with corporate innovation? Evidence from publicly listed firms in the U.S Journal of Corporate Finance 2020 A*
Managerial effect or firm effect: Evidence from the private debt market Financial Review (US) 2020 A
National culture and housing credit Journal of Empirical Finance 2020 A
Profit shifting and tax-rate uncertainty International Journal of Accounting and Business Finance 2020 C
The Dilemma of International Diversification: Evidence from the European Sovereign Debt Crisis Asia-Pacific Journal of Financial Studies 2020 B
The impact of social capital on economic attitudes and outcomes Journal of International Money and Finance 2020 A
Tournament Incentives and Acquisition Performance Review of Corporate Finance Studies 2020 A*
Transactional and relational approaches to political connections and the cost of debt Journal of Corporate Finance 2020 A*
Why are some Chinese firms failing in the US capital markets? A machine learning approach Pacific-Basin Finance Journal 2020 A
Benchmark on themselves: CEO-directors' influence on the CEO compensation Managerial Finance 2019 B
Corporate Misconduct and the Cost of Private Debt: Evidence from China Comparative Economic Studies 2019 B
Employee Treatment and Contracting with Bank Lenders: An Instrumental Approach for Stakeholder Management Journal of Business Ethics 2019 A
Enforcement of banking regulation and the cost of borrowing Journal of Banking & Finance 2019 A*
Entrenchment through corporate social responsibility: Evidence from CEO network centrality International Review of Financial Analysis 2019 A
Foreign ownership, bank information environments, and the international mobility of corporate governance Journal of International Business Studies 2019 A*
Lock-In Effects in Relationship Lending: Evidence from DIP Loans Journal of Money, Credit and Banking 2019 A*
Motivating high-impact innovation: Evidence from managerial compensation contracts Financial Markets, Institutions and Instruments 2019 B
National culture and risk-taking: Evidence from the insurance industry Journal of Business Research 2019 A
On the Effect of Business and Economic University Education on Political Ideology: An Empirical Note Journal of Business Ethics 2019 A
Political influence and financial flexibility: Evidence from China Journal of Banking & Finance 2019 A*
Senior debt and market discipline: Evidence from bank-to-bank loans Journal of Banking & Finance 2019 A*
The economic impact of changes in local bank presence Regional Studies 2019 A*
The income elasticity of mortgage loan demand Financial Markets, Institutions and Instruments 2019 B
Trust in banks Journal of Economic Behavior and Organization 2019 A*
What drives discretion in bank lending? Some evidence and a link to private information Journal of Banking & Finance 2019 A*
Accounting quality in banking: The role of regulatory interventions Journal of Banking & Finance 2018 A*
Can lenders discern managerial ability from luck? Evidence from bank loan contracts Journal of Banking & Finance 2018 A*
Corporate Social Responsibility and Firm Financial Performance: The Mediating Role of Productivity Journal of Business Ethics 2018 A
Differences make a difference: Diversity in social learning and value creation Journal of Corporate Finance 2018 A*
Do venture capital firms benefit from a presence on boards of directors of mature public companies? Journal of Corporate Finance 2018 A*
Does it pay to get connected? An examination of bank alliance network and bond spread Journal of Economics and Business 2018 B
Private benefits of control and bank loan contracts Journal of Corporate Finance 2018 A*
Secrecy, information shocks, and corporate investment: Evidence from European Union countries Journal of International Financial Markets, Institutions and Money 2018 A
Should banks diversify or focus? Know thyself: The role of abilities Economic Systems 2018 B
State enforceability of noncompete agreements: Regulations that stifle productivity! Human Resource Management (US) 2018 A*
The role of auditors in merger and acquisition completion time International Journal of Auditing 2018 A
What Type of Finance Matters for Growth? Bayesian Model Averaging Evidence The World Bank Economic Review 2018 A
Bank financing, institutions and regional entrepreneurial activities: Evidence from China International Review of Economics 2017 C
Bank Market Power and Loan Contracts: Empirical Evidence Economic Notes 2017 B
Bank overall financial strength: Islamic versus conventional banks Economic Modelling 2017 A
Do local banking market structures matter for SME financing and performance? New evidence from an emerging economy Journal of Banking & Finance 2017 A*
Do managerial risk-taking incentives influence firms' exchange rate exposure? Journal of Corporate Finance 2017 A*
Does Social Capital Matter in Corporate Decisions? Evidence from Corporate Tax Avoidance Journal of Accounting Research 2017 A*
Non-linearity in the finance-growth nexus: Evidence from Indonesia International Review of Economics 2017 C
Real effects of bank capital regulations: Global evidence Journal of Banking & Finance 2017 A*
Social Capital and Debt Contracting: Evidence from Bank Loans and Public Bonds Journal of Financial and Quantitative Analysis 2017 A*
The Effect of Board Directors from Countries with Different Genetic Diversity Levels on Corporate Performance Management Science 2017 A*
The Impacts of Intellectual Property Rights Protection on Cross-Border M&As Quarterly Journal of Finance 2017 A
The Risk-Taking Channel of Monetary Policy in the U.S.: Evidence from Corporate Loan Data Journal of Money, Credit and Banking 2017 A*
A cross-country study of legal-system strength and real earnings management Journal of Accounting and Public Policy 2016 A
Abnormal real operations, real earnings management, and subsequent crashes in stock prices Review of Quantitative Finance and Accounting 2016 B
CEO political preference and corporate tax sheltering Journal of Corporate Finance 2016 A*
Evidence for the existence of downward real-activity earnings management Journal of Accounting Auditing and Finance 2016 A
Finance-growth nexus and dual-banking systems: Relative importance of Islamic banks Journal of Economic Behavior and Organization 2016 A*
In Search of Concepts: The Effects of Speculative Demand on Stock Returns European Financial Management 2016 A
Regulations, institutions and income smoothing by managing technical reserves: International evidence from the insurance industry Omega 2016 A
Relative peer quality and firm performance Journal of Financial Economics 2016 A*
Should competition policy in banking be amended during crises? Lessons from the EU European Journal of Law and Economics 2016 C
The Determinants of Global Bank Credit-Default-Swap Spreads Journal of Financial Services Research 2016 A
Urban Agglomeration and CEO Compensation Journal of Financial and Quantitative Analysis 2016 A*
Venture capital investment, regional innovation and new business creation: A research note International Journal of Banking, Accounting and Finance 2016 C
When do peers matter?: A cross-country perspective Journal of International Money and Finance 2016 A
Banking Structure, Marketization, and Small Business Development: Regional Evidence From China Pacific Economic Review 2015 B
Banks' Risk Endogenous to Strategic Management Choices British Journal of Management 2015 A
Corporate disclosure and financing arrangements: Evidence from syndicated loans in emerging markets Asian Review of Accounting 2015 B
Corporate social responsibility, stakeholder risk, and idiosyncratic volatility Journal of Corporate Finance 2015 A*
Earnings and capital management and signaling: the use of loan-loss provisions by European banks The European Journal of Finance 2015 A
Effects of corporate and country governance on R&D investment: Evidence from emerging markets Singapore Economic Review 2015 B
Gender Differences in Financial Reporting Decision Making: Evidence from Accounting Conservatism Contemporary Accounting Research 2015 A*
Impact of compensation structure and managerial incentives on bank risk taking European Journal of Operational Research 2015 A*
Monitoring the "invisible" hand of market discipline: Capital adequacy revisited Journal of Banking & Finance 2015 A*
New Small Firms and Dimensions of Economic Performance Economic Development Quarterly 2015 B
Professors in the Boardroom and Their Impact on Corporate Governance and Firm Performance Financial Management 2015 A
Small banks and local economic development Review of Finance 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*
What determines bank-specific variations in bank stock returns? Global evidence Journal of Financial Intermediation 2015 A*
Which financial stocks did short sellers target in the subprime crisis? Journal of Banking & Finance 2015 A*
Are female CFOS less tax aggressive? Evidence from tax aggressiveness Journal of the American Taxation Association 2014 A
Bank regulations and income inequality: Empirical evidence Review of Finance 2014 A*
Bank valuation in new EU member countries Economic Systems 2014 B
Banking deregulation, consolidation, and corporate cash holdings: U.S. evidence Journal of Banking & Finance 2014 A*
Beauty is in the eye of the beholder: The effect of corporate tax avoidance on the cost of bank loans Journal of Financial Economics 2014 A*
Can firms learn by observing? Evidence from cross-border M&As Journal of Corporate Finance 2014 A*
Does relationship matter? The choice of financial advisors Journal of Economics and Business 2014 B
Institutional development and bank stability: Evidence from transition countries Journal of Banking & Finance 2014 A*
Institutional development and stock price synchronicity: Evidence from China Journal of Comparative Economics 2014 A
Political uncertainty and bank loan contracting Journal of Empirical Finance 2014 A
Public disclosure and bank loan contracting: Evidence from emerging markets Asian Review of Accounting 2014 B
The certification role of financial advisors in cross-border M&As International Review of Financial Analysis 2014 A
The Government's Role in Government-owned Banks Journal of Financial Services Research 2014 A
The risk of financial intermediaries Journal of Banking & Finance 2014 A*
Asymmetric benchmarking of pay in firms Journal of Corporate Finance 2013 A*
Commercial banks and value relevance of derivative disclosures after SFAS 133: Evidence from the USA Review of Pacific Basin Financial Markets and Policies 2013 B
Corporate governance and investment-cash flow sensitivity: Evidence from emerging markets Emerging Markets Review 2013 A
Efficiency and stock returns: Evidence from the insurance industry Journal of Productivity Analysis 2013 A
Foreign bank entry and bank corporate governance in China Emerging Markets Finance and Trade 2013 B
Government intervention and institutional trading strategy: Evidence from a transition country Global Finance Journal 2013 A
Market discipline during crisis: Evidence from bank depositors in transition countries Journal of Banking & Finance 2013 A*
Predicting rating changes for banks: How accurate are accounting and stock market indicators? Annals of Finance 2013 B
State antitakeover laws and voluntary disclosure Journal of Financial and Quantitative Analysis 2013 A*
The benefits of conservative accounting to shareholders: Evidence from the financial crisis Accounting Horizons 2013 A
The cost of sin: The effect of social norms on audit pricing International Review of Financial Analysis 2013 A
The effects of stock splits on the bid-ask spread of syndicated loans International Journal of Banking, Accounting and Finance 2013 C
The impact of CFO gender on bank loan contracting Journal of Accounting Auditing and Finance 2013 A
Are firm- and country-specific governance substitutes? Evidence from financial contracts in emerging markets Journal of Financial Research 2012 A
Asymmetric benchmarking in bank credit rating Journal of International Financial Markets, Institutions and Money 2012 A
Bank relationships and firms' financial performance: The Italian experience European Financial Management 2012 A
Corporate boards and bank loan contracting Journal of Financial Research 2012 A
Corporate social responsibility and shareholder's value Journal of Business Research 2012 A
Diversification and innovation revisited: An absorptive capacity view of technological knowledge creation IEEE Transactions on Engineering Management 2012 A
Do Banks Value Innovation? Evidence from US Firms Financial Management 2012 A
Do corporate boards matter during the current financial crisis? Review of Financial Economics 2012 B
Growth Strategies and Value Creation: What Works Best for Stock Exchanges? Financial Review (US) 2012 A
Innovations, intellectual protection rights and information technology: An empirical investigation in the MENA region Electronic Commerce Research 2012 A
Option-Adjusted Delta Credit Spreads: A Cross-Country Analysis European Financial Management 2012 A
Product market relationships and cost of bank loans: Evidence from strategic alliances Journal of Empirical Finance 2012 A
Returns to Retail Banking and Payments Journal of Financial Services Research 2012 A
Strategic Conservative Earnings Management of Technology Firms: Evidence from the IPO Market Financial Markets, Institutions and Instruments 2012 B
The Impact of Earnings Predictability on Bank Loan Contracting International Journal of Accounting and Business Finance 2012 C
Bank efficiency in South-Eastern Europe The Economics of Transition 2011 A
Bank privatization and convergence of performance: International evidence Journal of Financial Research 2011 A
Corporate Governance and Dividend Payout Policy: A Test Using Antitakeover Legislation Financial Management 2011 A
Economy-wide corruption and bad loans in banking: International evidence Applied Financial Economics 2011 B
Global equity offerings, corporate valuation, and subsequent international diversification Strategic Management Journal 2011 A*
Institutional development and its impact on the performance effect of bank diversification: Evidence from transition economies Emerging Markets Finance and Trade 2011 B
Leverage and growth: Effect of stock options Journal of Economics and Business 2011 B
Subordinated Debt, Market Discipline, and Bank Risk Journal of Money, Credit and Banking 2011 A*
Value relevance of banks: Global evidence Review of Quantitative Finance and Accounting 2011 B