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Do banks engage in earnings management? The role of dividends and institutional factors
|
Journal of Banking & Finance |
2024 |
A* |
|
Complements or substitutes? The effect of ETFs on other managed funds
|
International Review of Financial Analysis |
2024 |
A |
|
The investment behavior of China-connected mutual funds in the pandemic: Information advantage through operational link
|
International Review of Financial Analysis |
2024 |
A |
|
Media uncertainty and risk-taking
|
International Review of Financial Analysis |
2024 |
A |
|
Impact of product market competition on real activity manipulation: moderating role of managerial ability
|
Accounting and Finance |
2023 |
A |
|
Climate transition risk in U.S. loan portfolios: are all banks the same?
|
International Review of Financial Analysis |
2023 |
A |
|
Shared experience in top management team and mutual fund performance
|
The Journal of Portfolio Management |
2022 |
A |
|
Political connections, tacit power and corporate misconduct
|
International Journal of Accounting and Business Finance |
2022 |
C |
|
The media and CEO dominance
|
International Review of Finance |
2020 |
A |
|
The Chinese equity index options market
|
Emerging Markets Review |
2020 |
A |
|
Do mutual fund managers earn their fees? New measures for performance appraisal
|
European Journal of Operational Research |
2020 |
A* |
|
Did connected hedge funds benefit from bank bailouts during the financial crisis?
|
Journal of Banking & Finance |
2019 |
A* |
|
Should indirect brokerage fees be capped? Lessons from mutual fund marketing and distribution expense
|
Journal of Financial and Quantitative Analysis |
2017 |
A* |
|
Does educational diversity of managers matter for the performance of team-managed funds?
|
Accounting and Finance |
2017 |
A |