Chris Veld - Researcher Profile
Professor
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Publications Title Journal Name Year ABDC Ranking
Award-winning CEOs and corporate innovation Journal of Banking & Finance 2024 A*
Can existing corporate finance theories explain security offerings during the COVID-19 pandemic? Journal of Empirical Finance 2024 A
Credit risk assessment and executives’ legal expertise Review of Accounting Studies 2023 A*
Political uncertainty and investments by private and state-owned enterprises International Review of Finance 2023 A
Does it pay to invest? The personal equity risk premium and stock market participation Journal of Banking & Finance 2022 A*
How do investors perceive convertible bond issuing decisions? Finance Research Letters 2022 A
Legal risk and information spillover through private lender reports Journal of Financial Markets 2022 A*
Stock return ignorance Journal of Financial Economics 2022 A*
Why do individuals not participate in the stock market? International Review of Financial Analysis 2022 A
Effects of financial constraints and product market competition on share repurchases Journal of International Financial Markets, Institutions and Money 2021 A
Credit cards: transactional convenience or debt-trap? International Review of Finance 2020 A
Wealth effects of seasoned equity offerings: a meta-analysis International Review of Finance 2020 A
How can we improve inferences from surveys? A new look at the convertible debt questions from the Graham and Harvey survey data Journal of International Financial Markets, Institutions and Money 2019 A
The effects of bank regulation stringency on seasoned equity offering announcements Journal of International Money and Finance 2019 A
What is the role of institutional investors in corporate capital structure decisions? A survey analysis Journal of Corporate Finance 2019 A*
Value-creation through spin-offs: Australian evidence Australian Journal of Management 2018 A
Why do firms issue convertible bonds? Critical Finance Review 2018 A*
How does the funding status of defined benefit pension plans affect investment decisions of firms in the United States? International Journal of Accounting and Business Finance 2017 C
Tax avoidance in response to a decline in the funding status of defined benefit pension plans Journal of International Financial Markets, Institutions and Money 2017 A
Past returns and the perceived Sharpe ratio Journal of Economic Behavior and Organization 2016 A*
Do happy people make optimistic investors? Journal of Financial and Quantitative Analysis 2015 A*
Stock market expectations and risk aversion of individual investors International Review of Financial Analysis 2015 A
Convertible bond financing Journal of Corporate Finance 2014 A*
Wealth effects of convertible-bond and warrant-bond offering: a meta-analysis The European Journal of Finance 2014 A
What drives executive stock option backdating? International Journal of Accounting and Business Finance 2014 C
What we do and do not know about convertible bond financing Journal of Corporate Finance 2014 A*
Why are conversion-forcing call announcements associated with negative wealth effects? Journal of Corporate Finance 2014 A*
The optimal call policy for convertible bonds: Is there a market memory effect? Applied Economics Letters 2012 B
What drives security issuance decisions: Market timing, pecking order, or both? Financial Management 2012 A
Why are convertible bond announcements associated with increasingly negative issuer stock returns? An arbitrage-based explanation Journal of Banking & Finance 2012 A*
An empirical comparison of convertible bond valuation models Financial Management 2010 A
Reverse convertible bonds analyzed The Journal of Futures Markets 2009 A
The rise and demise of the convertible arbitrage strategy Financial Analysts Journal 2009 A
Value creation through spin-offs: A review of the empirical evidence International Journal of Management Reviews 2009 A
An empirical analysis of the pricing of bank issued options versus options exchange options European Financial Management 2008 A
An empirical analysis of the stockholder-bondholder conflict in corporate spin-offs Financial Management 2008 A
The risk perceptions of individual investors Journal of Economic Psychology 2008 A
Why individual investors want dividends Journal of Corporate Finance 2005 A*
Do spin-offs really create value? The European case Journal of Banking & Finance 2004 A*
Analysis of a practical formula for the valuation of employee stock options Applied Economics Letters 2003 B
The dividend and share repurchase policies of Canadian firms: Empirical evidence based on an alternative research design International Review of Financial Analysis 2003 A
Warrant pricing: A review of empirical research The European Journal of Finance 2003 A
An empirical analysis of incremental capital structure decisions under managerial entrenchment Journal of Banking & Finance 2001 A*
Hedging pressure effects in futures markets Indian Journal of Finance 2000 C
Announcement effects of convertible bond loans and warrant-bond loans: An empirical analysis for the Dutch market Journal of Banking & Finance 1998 A*
A study on the efficiency of the market for dutch long-term call options The European Journal of Finance 1998 A
Pricing term structure risk in futures markets Journal of Financial and Quantitative Analysis 1998 A*
Contrarian investment strategies in a European context International Journal of Accounting and Business Finance 1997 C
Out-of-sample hedging effectiveness of currency futures for alternative models and hedging strategies The Journal of Futures Markets 1997 A
An empirical investigation of the factors that determine the pricing of Dutch index warrants European Financial Management 1996 A
Put-call parities and the value of early exercise for put options on a performance index The Journal of Futures Markets 1996 A
An empirical analysis of warrant prices versus long-term call option prices Journal of Business Finance & Accounting 1995 A*
Testing option pricing models for several contingent claims using a generalized methodology Economics Letters 1993 A