George Andrew Karolyi
#140,800
Most Influential Person Now
George Andrew Karolyi's AcademicInfluence.com Rankings
George Andrew Karolyibusiness Degrees
Business
#748
World Rank
#821
Historical Rank
Finance
#82
World Rank
#87
Historical Rank
George Andrew Karolyieconomics Degrees
Economics
#3062
World Rank
#3473
Historical Rank
Financial Economics
#43
World Rank
#43
Historical Rank
Download Badge
Business Economics
George Andrew Karolyi's Degrees
- PhD Finance University of California, Berkeley
- Masters Finance University of California, Berkeley
- Bachelors Economics University of California, Berkeley
Similar Degrees You Can Earn
Why Is George Andrew Karolyi Influential?
(Suggest an Edit or Addition)George Andrew Karolyi's Published Works
Published Works
- An Empirical Comparison of Alternative Models of the Short-Term Interest Rate (1992) (1864)
- Why Do Countries Matter so Much for Corporate Governance? (2004) (1183)
- A New Approach to Measuring Financial Contagion (2000) (1127)
- The Effects of Market Segmentation and Investor Recognition on Asset Prices: Evidence from Foreign Stocks Listing in the United States (1999) (1010)
- Why Do Markets Move Together? An Investigation of U.S.-Japan Stock Return Comovements (1996) (943)
- Understanding Commonality in Liquidity Around the World (2011) (608)
- The World of Cross-Listings and Cross-Listings of the World: Challenging Conventional Wisdom (2004) (600)
- A Multivariate GARCH Model of International Transmissions of Stock Returns and Volatility: The Case of the United States and Canada (1995) (578)
- What Factors Drive Global Stock Returns? (2011) (561)
- Why Do Companies List Shares Abroad?: A Survey of the Evidence and Its Managerial Implications (1998) (554)
- The Economic Consequences of Increased Disclosure: Evidence from International Cross-Listings (2005) (513)
- Another Look at the Role of the Industrial Structure of Markets for International Diversification Strategies (1996) (501)
- Intraday Volatility in the Stock Index and Stock Index Futures Markets (1991) (488)
- Global Financial Markets and the Risk Premium on U.S. Equity (1992) (377)
- Multi-Market Trading and Arbitrage (2004) (296)
- Has New York become less competitive than London in global markets? Evaluating foreign listing choices over time (2009) (283)
- The Effects of Market Segmentation and Investor Recognition on Asset Prices: Evidence from Foreign Stocks Listing in the U.S. (1998) (270)
- International Listings of Stocks: The Case of Canada and the U.S. (1993) (243)
- Chapter 16 Are financial assets priced locally or globally (2003) (221)
- Does International Financial Contagion Really Exist? (2003) (200)
- Good news, bad news and international spillovers of stock return volatility between Japan and the U.S. (1994) (199)
- The Variation of Economic Risk Premiums in Real Estate Returns (1998) (194)
- Terrorism and the Stock Market (2006) (185)
- To FinTech and Beyond (2019) (185)
- Has New York Become Less Competitive in Global Markets? Evaluating Foreign Listing Choices over Time (2007) (182)
- Why do Foreign Firms Leave U.S. Equity Markets? (2008) (177)
- International Real Estate Returns: A Multifactor, Multicountry Approach (2003) (175)
- The Gravity of Culture for Finance (2015) (169)
- Corporate governance, agency problems and international cross-listings: A defense of the bonding hypothesis (2012) (169)
- The U.S. Listing Gap (2015) (164)
- The Impact of the Introduction of the Euro on Foreign Exchange Rate Risk Exposures (2006) (162)
- The U.S. left behind? Financial globalization and the rise of IPOs outside the U.S. (2013) (155)
- What is Different About Government-Controlled Acquirers in Cross-Border Acquisitions? (2010) (151)
- Multimarket Trading and Liquidity: A Transaction Data Analysis of Canada U.S. Interlistings (1998) (139)
- The Role of American Depositary Receipts in the Development of Emerging Equity Markets (2004) (134)
- Multimarket trading and liquidity: a transaction data analysis of Canada–US interlistings (1998) (133)
- Did the Asian Financial Crisis Scare Foreign Investors Out of Japan? (1999) (129)
- The Long-Run Performance of Global Equity Offerings (1998) (123)
- Regulatory Arbitrage and Cross-Border Bank Acquisitions (2014) (121)
- Why Do Markets Move Together? An Investigation of U.S.-Japan Stock Return Comovements Using Adrs (1996) (120)
- State capitalism's global reach: Evidence from foreign acquisitions by state-owned companies (2017) (112)
- Information, Trading Volume, and International Stock Return Comovements: Evidence from Cross-Listed Stocks (2007) (107)
- Regulatory Arbitrage and Cross-Border Bank Acquisitions: Regulatory Arbitrage and Cross-Border Bank Acquisitions (2015) (94)
- Multi-Market Trading and Liquidity: Theory and Evidence (2003) (91)
- Price and Volatility Transmission Across Borders (2006) (89)
- Understanding Electricity Price Volatility within and Across Markets (2004) (83)
- Did the Asian Financial Crisis Scare Foreign Investors Out of Japan (2002) (82)
- Eclipse of the Public Corporation or Eclipse of the Public Markets? (2018) (77)
- A Resolution of the Chinese Discount Puzzle (2003) (73)
- Cracking the Emerging Markets Enigma (2015) (71)
- The Role of Adrs in the Development of Emerging Equity Markets (2003) (67)
- Daimlerchrysler Ag, the First Truly Global Share (1999) (60)
- Home Bias, an Academic Puzzle (2012) (60)
- What Happens to Stocks that List Shares Abroad? A Survey of the Evidence and its Managerial Implications (1996) (59)
- Stock Market Volatility around Expiration Days in Japan (1996) (55)
- A Bayesian Approach to Modeling Stock Return Volatility for Option Valuation (1993) (53)
- The Consequences of Terrorism for Financial Markets: What Do We Know? (2006) (49)
- Do International Cross-Listings Still Matter? (2010) (49)
- The Volatility of Short-Term Interest Rates: An Empirical Comparison of Alternative Models of the Term Structure of Interest Rates (1992) (47)
- Common Patterns in Commonality in Returns, Liquidity, and Turnover around the World (2007) (47)
- Predicting risk: some new generalizations (1992) (45)
- Momentum Strategies: Some Bootstrap Tests (2004) (44)
- The U.S. Left Behind: The Rise of IPO Activity Around the World (2011) (42)
- Indirect Robust Estimation of the Short-Term Interest Rate Process (2005) (41)
- The Role of Investability Restrictions on Size, Value, and Momentum in International Stock Returns (2012) (40)
- The Effects of Market Segmentation and Illiquidity on Asset Prices: Evidence from Foreign Stocks Listing in the Us (1998) (39)
- New Methods for the Cross-Section of Returns (2020) (35)
- Stock Market Volatility Around Expiration Days (1996) (35)
- A New Partial-Segmentation Approach to Modeling International Stock Returns (2018) (31)
- A (partial) resolution of the Chinese discount puzzle: The 2001 deregulation of the B‐share market (2009) (30)
- The Coming Wave (2013) (28)
- Information, Trading Volume and International Stock Market Comovements (1997) (27)
- Cross-Border Bank Flows and Systemic Risk (2018) (26)
- DOES INTERNATIONAL FINANCIAL CONTAGION REALLY EXIST (2004) (25)
- The Role of ADRs in the Development and Integration of Emerging Equity Markets (2003) (24)
- The Theory and Practice of Investor Relations: A Global Perspective (2017) (23)
- The Volatility of Japanese Interest Rates: A Comparison of Alternative Term Structure Models (1992) (21)
- Discussion of 'A Lobbying Approach to Evaluating the Sarbanes-Oxley Act of 2002' (2009) (16)
- Racing to the Exits: International Transmissions of Funding Shocks During the Federal Reserve's Taper Experiment (2016) (15)
- An Unexpected Test of the Bonding Hypothesis (2017) (15)
- The Coming Wave: Where Do Emerging Market Investors Put Their Money? (2015) (15)
- Is Financial Globalization in Reverse after the 2008 Global Financial Crisis? Evidence from Corporate Valuations (2020) (14)
- The Ultimate Irrelevance Proposition in Finance? (2011) (14)
- Is There a Home Field Advantage in Global Markets? (2017) (13)
- An Assessment of Terrorism-Related Investing Strategies (2008) (12)
- Financial Globalization and the Rise of IPOs Outside the U.S. (2013) (11)
- The Decreasing Returns of Serial Acquirers around the World (2015) (10)
- The Dynamic Volume-Return Relationship of Individual Stocks: The International Evidence (2006) (10)
- The Volatility of the Japanese Stock Market: Evidence from 1977 to 1990 (1991) (10)
- Is Currency Risk Priced in Global Equity Markets?* (2020) (9)
- What is Different About Government-Controlled Acquirers in Cross-Border Deals? (2009) (7)
- Value of mortality data and necropsy records in monitoring morbidity in a population. (1991) (7)
- SOURCING EQUITY INTERNATIONALLY WITH DEPOSITARY RECEIPT OFFERINGS: TWO EXCEPTIONS THAT PROVE THE RULE (1998) (6)
- PREVALENCE OF MINOR CONGENITAL ANOMALIES IN DIABETIC CHILDREN (1985) (6)
- The Cross-Section of Expected Returns: Where We Stand Today (2016) (5)
- Value Premium, Network Adoption, and Factor Pricing of Crypto Assets (2021) (5)
- International Cross-listings (2012) (4)
- To be published as a chapter in Evidence on Financial Globalization and Crises, Thorsten Beck, Sergio Schmukler, and Stijn Claessens (Editors), Elsevier North-Holland Publishers. (2010) (4)
- A Retrospective Evaluation of the Pacific-Basin Finance Journal: 1993-2002 (2002) (3)
- U.S. Monetary Policy Transmission and Liquidity Risk Premia Around the World (2019) (3)
- Huaneng Power International (1994) (2)
- Understanding the Pricing of Currency Risk in Global Equity Markets (2021) (2)
- Hutchison Whampoa Limited - Yankee Bond Offering (1998) (2)
- Is the Public Corporation Really in Eclipse? Evidence from the Asia‐Pacific (2017) (2)
- Another Look at Currency Risk in International Stock Returns (2017) (2)
- International Capital Markets (2003) (1)
- The Role of Government Regulation in Cross-Border Bank Acquisitions (2011) (1)
- An excursion into the paranormal (2003) (1)
- Climate Finance (2019) (1)
- [Corneal arcus and life expectancy]. (1999) (1)
- First results of a regional neonatal thyroid screening programme in Hungary (1984) (0)
- Type of feeding does not influence thyroid hormone levels in premature infants. (1988) (0)
- [Repeated sociologic (social gerontologic) study of elderly citizens active in agriculture]. (1987) (0)
- [Morbidity of sense organs and their rehabilitation possibilities in older agricultural population]. (1972) (0)
- Abstracts of volume 2Good news, band news and international spilovers of stock return volatility between Japan and the U.S. (1995) (0)
- A Retrospective Evaluation of the Pacific-Basin Finance Journal:1993-2002 (2002) (0)
- [New concepts in the care of the elderly]. (1992) (0)
- The role of regulation in cross-border bank acquisitions: Is it really a ‘race to the bottom’? (2012) (0)
- [Chromosome studies on the bone marrow from children with acute lymphoid leukemia and preleukemia]. (1981) (0)
- Determinants of Cross-Border Mergers and Acquisitions Isil (2010) (0)
- [The large newborn infant]. (1984) (0)
- [Longitudinal socio-gerontologic geronto-epidemiologic study in Hajdúszoboszló (SZOLOVI, 1964-1991)]. (1993) (0)
- UPPORTED BY U NIGESTION “ Regulatory arbitrage and cross-border bank acquisitions ” (2013) (0)
- Human growth hormone in urine: development of an ultrasensitive radiometric assay (1988) (0)
- International Transmissions of Stock Returns and Volatility: The Case of the United States and Canada (1995) (0)
- "Ontario Teachers' Pension Plan Board" Trilogy (Ivey Management Services, Inc.) (1998) (0)
- Ontario Teachers' Pension Plan Board: Hedging Foreign Currency Exposure (1996) (0)
- Biodiversity Finance: A Call for Research into Financing Nature (2023) (0)
- [Follow-up study on the growth of large neonates at 3 years of age]. (1986) (0)
- Do ESG Factors Influence Firm Valuation? Evidence from the Field (2023) (0)
- Parlour game for children with diabetes mellitus (1994) (0)
- [Preparation of a model study of establishments in geriatric districts in the Hungarian PR (People's Republic)]. (1973) (0)
- [On the 40th anniversary of the liberation of Hungary]. (1986) (0)
- Ontario Teachers' Pension Plan Board: The Asset Allocation Decision (1994) (0)
- [Changes in the "basic principles of socialist public health"]. (1988) (0)
- Cross-Border Bank Flows and Systemic Risk1 (2017) (0)
- [ON THE SO-CALLED ZIEVE'S SYNDROME]. (1964) (0)
- [Possibility of the use of an associative method based on experience with screening of an aged agricultural population]. (1972) (0)
- [Follow-up examination of the growth of high birth-weight infants at one year of age]. (1985) (0)
- Understanding the Global Equity Greenium (2023) (0)
- [Attempt at the introduction of complex care during hospitalization (preliminary record)]. (1976) (0)
- Country Rotation Strategies and Mutual Fund Performance (2022) (0)
- [Diagnostic and therapeutic problems of childhood lymphoblastic leukemia with an aplastic bone marrow picture at the onset of the disease]. (1981) (0)
- Ontario Teachers' Pension Plan Board: Value at Risk (1996) (0)
- Preliminary proceedings for a model experiment to be carried out in order to investigate the establishing of geriatric districts in Hungary. (1975) (0)
- [Epidemiologic value of autopsy records (base on a number of actual cases]. (1996) (0)
- Antecedents of "the principles of socialist health". (1989) (0)
- Serum calcium and magnesium in diabetes control (1987) (0)
- Valueofmortality dataandnecropsy records in monitoring morbidity ina population (1991) (0)
- [Screening of the XYY karyotype by the static fluorescence nuclear method]. (1973) (0)
- [Mass dental screening examinations of aged agricultural workers]. (1969) (0)
- [A PEDIATRIC GYNECOLOGICAL CASE]. (1964) (0)
- EFFECTS OF THE hGH THERAPY ON THE HEART SIZE AND CONTRACTION (1993) (0)
This paper list is powered by the following services:
What Schools Are Affiliated With George Andrew Karolyi?
George Andrew Karolyi is affiliated with the following schools: