Iftekhar Hasan
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(Suggest an Edit or Addition)Iftekhar Hasan's Published Works
Published Works
- Bank performance, efficiency and ownership in transition countries (2005) (1241)
- Bank Ownership and Efficiency in China: What Will Happen in the World's Largest Nation? (2006) (935)
- Should Banks Be Diversified? Evidence from Individual Bank Loan Portfolios (2002) (704)
- Development and Efficiency of the Banking Sector in a Transitional Economy: Hungarian Experience (2000) (596)
- Beauty is in the Eye of the Beholder: The Effect of Corporate Tax Avoidance on the Cost of Bank Loans (2013) (462)
- The Effects of Focus versus Diversification on Bank Performance: Evidence from Chinese Banks (2010) (445)
- Privatization Matters: Bank Efficiency in Transition Countries (2004) (438)
- Institutional Development, Financial Deepening and Economic Growth: Evidence from China (2006) (421)
- Gender Differences in Financial Reporting Decision-Making: Evidence from Accounting Conservatism (2014) (409)
- The performance of de novo commercial banks: A profit efficiency approach (1998) (371)
- Further Evidence on the Link between Finance and Growth: An International Analysis of Community Banking and Economic Performance (2003) (370)
- The Innovation-Economic Growth Nexus: Global Evidence (2010) (313)
- Political Connections and the Process of Going Public: Evidence from China (2008) (306)
- Financial Crises and Bank Failures: A Review of Prediction Methods (2009) (280)
- Social Capital and Debt Contracting: Evidence from Bank Loans and Public Bonds (2015) (258)
- Regional growth and finance in Europe : Is there a quality effect of bank efficiency? (2009) (223)
- Use of Loan Loss Provisions for Capital, Earnings Management and Signalling By Australian Banks (2007) (203)
- Corporate social responsibility and shareholder's value (2012) (202)
- Political uncertainty and bank loan contracting (2014) (195)
- Does Social Capital Matter in Corporate Decisions? Evidence from Corporate Tax Avoidance (2016) (191)
- Professors in the Boardroom and Their Impact on Corporate Governance and Firm Performance (2013) (188)
- Efficiency of multinational banks: an empirical investigation (1998) (183)
- Ownership, Governance, and Bank Performance: Korean Experience (2005) (180)
- Corporate Social Responsibility and Firm Financial Performance: The Mediating Role of Productivity (2016) (180)
- Abnormal real operations, real earnings management, and subsequent crashes in stock prices (2014) (179)
- Determinants of the Loan Loss Allowance: Some Cross-Country Comparisons (2004) (176)
- Institutional development and bank stability: Evidence from transition countries (2014) (168)
- Financial Market Integration and the Value of Global Diversification: Evidence from US Acquirers in Cross-Border Mergers and Acquisitions (2008) (164)
- The Benefits of Conservative Accounting to Shareholders: Evidence from the Financial Crisis (2013) (161)
- The Influence of University R & D Expenditures on New Business Formations and Employment Growth (2007) (158)
- Are Female CFOs Less Tax Aggressive? Evidence from Tax Aggressiveness (2014) (152)
- Diversification and Firm Performance: Exploring the Moderating Effects of Information Technology Spending (2009) (147)
- Do Corporate Boards Affect Firm Performance? New Evidence from the Financial Crisis (2012) (144)
- European Bank Performance Beyond Country Borders: What Really Matters?* (2001) (140)
- Market Discipline During Crisis: Evidence from Bank Depositors in Transition Countries (2012) (128)
- Finance-Growth Nexus and Dual-Banking Systems: Relative Importance of Islamic Banks (2015) (124)
- Bank Regulations and Income Inequality: Empirical Evidence (2012) (124)
- Asymmetric Benchmarking in Bank Credit Rating (2012) (124)
- Corporate Social Responsibility, Stakeholder Risk, and Idiosyncratic Volatility (2013) (122)
- Earnings and capital management and signaling: the use of loan-loss provisions by European banks (2015) (120)
- The Effect of State Antitakeover Laws on the Firm's Bondholders (2009) (119)
- Small Banks and Local Economic Development (2014) (116)
- The Underpricing of Venture and Nonventure Capital IPOs: An Empirical Investigation (1999) (113)
- Do Internet Activities Add Value? Evidence from the Traditional Banks (2009) (110)
- The Impact of Out-of-State Entry on the Cost Efficiency of Local Commercial Banks (1998) (103)
- Corporate Social Responsibility and Shareholder's Value: An Event Study Analysis (2009) (103)
- Do Corporate Boards Matter During the Current Financial Crisis? (2012) (102)
- The Impact of CFO Gender on Bank Loan Contracting (2011) (100)
- The Effects of Focus and Diversification on Bank Risk and Return: Evidence from Individual Bank Loan Portfolios (2001) (94)
- THE ROLE OF LOAN LOSS PROVISIONS IN EARNINGS MANAGEMENT, CAPITAL MANAGEMENT, AND SIGNALING: THE SPANISH EXPERIENCE (2003) (91)
- The Effect of Board Directors from Countries with Different Genetic Diversity Levels on Corporate Performance (2015) (90)
- Corporate governance and investment-cash flow sensitivity: Evidence from emerging markets (2013) (90)
- Bank Efficiency in South‐Eastern Europe (2011) (89)
- Trust in Banks (2016) (87)
- Bank overall financial strength: Islamic versus conventional banks (2017) (86)
- Do Local Banking Market Structures Matter for SME Financing and Performance? New Evidence from an Emerging Economy (2015) (83)
- Can hedging tell the full story? Reconciling differences in United States aggregate- and industry-level exchange rate risk premium (2008) (83)
- Corporate Governance and Dividend Payout Policy: A Test Using Antitakeover Legislation (2011) (77)
- Cross-listing and legal bonding: Evidence from mergers and acquisitions. (2007) (76)
- Real Effects of Bank Capital Regulations: Global Evidence (2017) (75)
- The Risk of Financial Intermediaries (2014) (74)
- The Risk-Taking Channel of Monetary Policy in the Us: Evidence from Corporate Loan Data (2017) (73)
- The Transparency of the Banking Industry and the Efficiency of Information-Based Bank Runs (2005) (72)
- Bank Runs in the Free Banking Period (1994) (71)
- An empirical analysis of fraud detection likelihood (1996) (69)
- Banking in Transition Countries (2008) (69)
- The Effectiveness of Corporate Boards: Evidence from Bank Loan Contracting (2009) (68)
- Technology, Automation, and Productivity of Stock Exchanges: International Evidence (2002) (67)
- Corporate Boards and Bank Loan Contracting (2011) (67)
- Incentives and Innovation: Evidence from CEO Compensation Contracts (2011) (66)
- The cost of sin : The effect of social norms on audit pricing (2013) (65)
- Why do Bank Runs Look Like Panic? A New Explanation (2008) (65)
- Retail Payments and Economic Growth (2012) (63)
- Emerging Market Liberalization and the Impact on Uncovered Interest Rate Parity (2002) (63)
- The transparency of the banking system and the efficiency of information-based bank runs (2015) (63)
- Return from Retail Banking and Payments (2009) (62)
- The Signalling Hypothesis Revisited: Evidence from Foreign IPOs (2008) (62)
- CEO Political Preference and Corporate Tax Sheltering (2016) (60)
- The Determinants of Global Bank Credit-Default-Swap Spreads (2014) (59)
- Bank Efficiency in Transition Economies: Recent Evidence from South-Eastern Europe (2011) (59)
- Institutional Development and Stock Price Synchronicity: Evidence from China (2013) (58)
- Do Banks Value Innovation? Evidence from US Firms (2012) (58)
- Value relevance of banks: global evidence (2011) (58)
- Returns to Retail Banking and Payments (2012) (56)
- The Impact of Earnings Predictability on Bank Loan Contracting (2011) (56)
- Subordinated Debt, Market Discipline, and Bank Risk (2011) (55)
- Are Expansions Cost Effective for Stock Exchanges? A Global Perspective (2000) (55)
- Dynamic Relations between International Equity and Currency Markets: The Role of Currency Order Flow (2004) (55)
- Efficiency and stock returns: evidence from the insurance industry (2013) (54)
- National culture and risk-taking: Evidence from the insurance industry (2019) (54)
- Urban Agglomeration and CEO Compensation (2012) (53)
- Cross-Border Performance in European Banking (2000) (53)
- Cross-Border Bank M&As and Risk: Evidence from the Bond Market (2010) (52)
- Are consumers Ricardian? Evidence for Canada (1994) (52)
- Economy-wide corruption and bad loans in banking: international evidence (2011) (52)
- A Rational Explanation for Home Country Bias (2000) (52)
- Is social capital associated with corporate innovation? Evidence from publicly listed firms in the U.S (2020) (52)
- Should competition policy in banking be amended during crises? Lessons from the EU (2013) (52)
- Which Financial Stocks Did Short Sellers Target in the Subprime Crisis (2015) (51)
- The determinants of option adjusted delta credit spreads: A comparative analysis on US, UK and the Eurozone (2009) (51)
- Can Firms Learn by Observing? Evidence from Cross-Border M&As (2014) (51)
- Relative Peer Quality and Firm Performance (2016) (51)
- A cross-country study of legal-system strength and real earnings management (2016) (51)
- Loan loss provision decisions: An empirical analysis of the Spanish depository institutions (2005) (50)
- Are Firm- and Country-Specific Governance Substitutes? Evidence from Financial Contracts in Emerging Markets (2012) (49)
- Retail Payments and the Real Economy (2013) (48)
- Effects of Institutional Pressures on Information Technology Investments: An Empirical Investigation (2009) (48)
- Real effective exchange rate volatility and growth: A framework to measure advantages of flexibility vs. costs of volatility (2006) (48)
- New Small Firms and Dimensions of Economic Performance (2009) (47)
- Global syndicated lending during the COVID-19 pandemic (2020) (45)
- Democracy and credit (2020) (45)
- Does Relationship Matter? The Choice of Financial Advisors (2012) (44)
- Bank Relationships and Small Firms' Financial Performance (2006) (43)
- Global equity offerings, corporate valuation, and subsequent international diversification (2011) (42)
- Do Firms Adjust Toward Target Capital Structures? Some International Evidence (2008) (42)
- The Government’s Role in Government-owned Banks (2014) (42)
- Non-Linearity in the Finance-Growth Nexus: Evidence from Indonesia (2016) (41)
- What Type of Finance Matters for Growth? Bayesian Model Averaging Evidence (2015) (41)
- Investment-Cash Flow Sensitivities, Credit Rationing and Financing Constraints (2008) (41)
- Do Networks in the Stock Exchange Industry Pay Off? European Evidence (2003) (41)
- Investment–cash flow sensitivities, credit rationing and financing constraints in small and medium-sized firms (2010) (40)
- The Risk-Taking Channel of Monetary Policy in the USA: Evidence from Micro-Level Data (2012) (40)
- Value relevance of earnings: Evidence from Middle Eastern and North African Countries (2010) (40)
- Growth Strategies and Value Creation: What Works Best for Stock Exchanges? (2010) (40)
- The Signaling Hypothesis Revisited: Evidence from Foreign IPOs (2010) (40)
- Product Market Relationships and Cost of Bank Loans: Evidence from Strategic Alliances (2011) (40)
- Pricing Risky Bank Loans in the New Basel II Environment (2006) (39)
- Regulations, Institutions and Income Smoothing by Managing Technical Reserves: International Evidence from the Insurance Industry (2011) (36)
- Predicting rating changes for banks: how accurate are accounting and stock market indicators? (2009) (36)
- Banking deregulation, consolidation, and corporate cash holdings: U.S. evidence (2014) (36)
- Bank Relationships and Firms' Financial Performance: The Italian Experience (2012) (35)
- Foreign Bank Entry and Bank Corporate Governance in China (2013) (35)
- Bank Ownership Structure, SME Lending and Local Credit Markets (2014) (35)
- Organizational Form and Expense Preference: Spanish Experience (1999) (34)
- Do Better Institutions Improve Bank Efficiency? Evidence from a Transitional Economy (2008) (34)
- The monetary approach to exchange rates and the behaviour of the Canadian dollar over the long run (2001) (33)
- Suspension of Payments, Bank Failures, and the Nonbank Public's Losses (2005) (33)
- Secrecy, Information Shocks, and Corporate Investment: Evidence from European Union Countries (2017) (32)
- Bank Ownership and Efficiency in China: What Lies Ahead in the World's Largest Nation? (2007) (32)
- Can Lenders Discern Managerial Ability from Luck? Evidence from Bank Loan Contracts (2018) (32)
- Market Reforms, Legal Changes and Bank Risk-Taking – Evidence from Transition Economies (2011) (31)
- Corporate governance, investor protection, and firm performance in MENA countries (2014) (31)
- Private benefits of control and bank loan contracts (2018) (31)
- Does Diversification Increase or Decrease Bank Risk and Performance? Evidence on Diversification and the Risk-Return Tradeoff in Banking (2010) (31)
- The Effects of Ratings-Contingent Regulation on International Bank Lending Behavior: Evidence from the Basel 2 Accord (2014) (30)
- Networks and equity market integration: European evidence (2004) (30)
- In Search of Concepts: The Effects of Speculative Demand on Returns and Volume (2012) (29)
- Evidence for the Existence of Downward Real-Activity Earnings Management (2016) (29)
- What Determines Bank Stock Price Synchronicity?: Global Evidence (2012) (29)
- Banks' option to lend, interest rate sensitivity, and credit availability (2002) (29)
- Do Managerial Risk-Taking Incentives Influence Firms’ Exchange Rate Exposure? (2017) (28)
- How Large Banks Use CDS to Manage Risks: Bank-Firm-Level Evidence (2015) (28)
- The Use of Loan Loss Provisions for Capital Management, Earnings Management and Signalling By Australian Banks (2007) (28)
- Does Hedging Tell the Full Story? Reconciling Differences in US Aggregate and Industry-Level Exchange Rate Risk Premia (2008) (28)
- Central Bank Institutional Structure and Effective Central Banking: Cross-Country Empirical Evidence (2008) (28)
- The Anticipated and Concurring Effects of the Emu (2004) (27)
- Monitoring the “invisible” hand of market discipline: Capital adequacy revisited ☆ (2015) (27)
- Entrenchment through corporate social responsibility: Evidence from CEO network centrality (2019) (27)
- Institutional Development and Its Impact on the Performance Effect of Bank Diversification: Evidence from Transition Economies (2011) (26)
- Investor relations and IPO performance (2020) (25)
- A NOTE ON UNDERWRITER COMPETITION AND INITIAL PUBLIC OFFERINGS (1996) (25)
- Does Geography Matter to Bondholders? (2007) (25)
- Deregulation and Convergence of Banking: The EU Experience (2008) (24)
- What determines bank-specific variations in bank stock returns? Global evidence (2015) (23)
- Management efficiency in minority- and women-owned banks (1996) (23)
- Diversification and Innovation Revisited: An Absorptive Capacity View of Technological Knowledge Creation (2012) (22)
- Differences make a difference: Diversity in social learning and value creation (2018) (22)
- Enforcement of Banking Regulation and the Cost of Borrowing (2018) (21)
- Banking Structure, Marketization, and Small Business Development: Regional Evidence from China (2015) (21)
- When Do Peers Matter?: A Cross-Country Perspective (2016) (20)
- Politically Connected Firms in Poland and Their Access to Bank Financing (2013) (20)
- National culture and housing credit (2020) (20)
- The impact of social capital on economic attitudes and outcomes (2020) (19)
- What Types of Bondholders Impede Corporate Innovative Activities? (2013) (19)
- Promoting Efficient Retail Payments in Europe (2014) (19)
- Banks’ Risk Endogenous to Strategic Management Choices (2015) (19)
- State Antitakeover Laws and Voluntary Disclosure (2013) (18)
- Bank lending during the COVID-19 pandemic (2020) (18)
- Transactional and relational approaches to political connections and the cost of debt (2018) (18)
- The US bankruptcy law and private equity financing: empirical evidence (2008) (18)
- Should banks diversify or focus? Know thyself: The role of abilities (2018) (18)
- The Effects of (within and with EU) Regional Integration Impact on Real Effective Exchange Rate Volatility, Institutional Quality and Growth for MENA Countries (2005) (18)
- BULLETIN OF MONETARY ECONOMICS AND BANKING (2007) (17)
- The Effect of Foreign Institutional Ownership on Corporate Tax Avoidance: International Evidence (2016) (17)
- Social Capital, Trusting, and Trustworthiness: Evidence from Peer-to-Peer Lending (2020) (17)
- The Use of Loan Loss Provisions for Earnings, Capital Management and Signalling by Australian Banks (2005) (16)
- Does Gender Affect Innovation? Evidence from Female Chief Technology Officers (2021) (16)
- More than Connectedness – Heterogeneity of CEO Social Network and Firm Value (2012) (16)
- The economic impact of changes in local bank presence (2018) (16)
- Bank accounting regulations, enforcement mechanisms, and financial statement informativeness: cross-country evidence* (2020) (16)
- Political influence and financial flexibility: Evidence from China (2019) (16)
- Finance and wealth inequality (2020) (16)
- Who benefits from mandatory CSR? Evidence from the Indian Companies Act 2013 (2020) (15)
- Do Social Networks Encourage Risk-Taking? Evidence from Bank CEOs (2016) (15)
- Comparing financial transparency between for-profit and nonprofit suppliers of public goods: Evidence from microfinance (2020) (14)
- In Search of Concepts: The Effects of Speculative Demand on Stock Returns (2016) (14)
- Do Banks Value Borrowers' Environmental Record? Evidence from Financial Contracts (2018) (14)
- Asymmetric benchmarking of pay in firms (2013) (14)
- Firms’ Real Earnings Management and Subsequent Stock Price Crash Risk (2011) (14)
- Firms’ Risk Endogenous to Strategic Management Choices (2015) (14)
- Pricing risky bank loans in the new Basel 2 environment (2006) (13)
- Employee Treatment and Contracting with Bank Lenders: An Instrumental Approach for Stakeholder Management (2019) (13)
- Return-Volatility Linkages in the International Equity and Currency Markets (2002) (13)
- Bank Efficiency, Financial Depth, and Economic Growth (2009) (13)
- Leverage and Growth: Effect of Stock Options (2011) (13)
- Impact of compensation structure and managerial incentives on bank risk taking (2015) (13)
- Financial Sector Development and Growth: The Chinese Experience (2006) (12)
- The Quality of Banking and Regional Growth (2007) (12)
- Promotional Expenditures, Market Competition, and Thrift Behavior (2000) (12)
- Underpricing of Foreign and Domestic IPOs in the U.S. Market: Empirical Evidence (2001) (12)
- The performance of de novo commercial banks : A pro ® t e ciency approach (1998) (12)
- Banking Reform, Risk-Taking, and Earnings Quality – Evidence from Transition Countries (2014) (12)
- Cross-country evidence on the relationship between regulations and the development of the life insurance sector (2020) (12)
- On the Effect of Business and Economic University Education on Political Ideology: An Empirical Note (2017) (11)
- Monetary explanations of the Great Depression: a selective survey of empirical evidence (2004) (11)
- A Cross-Country Study of Legal Environment and Real Earnings Management (2011) (11)
- Democracy and Credit 'Democracy Doesn't Come Cheap' But at Least Credit to Its Corporations Will Be (2017) (11)
- Tournament Incentives and Acquisition Performance (2020) (11)
- A Note on Foreign Bank Entry and Bank Corporate Governance in China (2012) (11)
- Do Activist Hedge Funds Target Female CEOs? The Role of CEO Gender in Hedge Fund Activism (2019) (11)
- Democratic Development and Credit 'Democracy Doesn`t Come Cheap' But At Least Credit to Its Corporations Will Be (2017) (11)
- Innovations, intellectual protection rights and information technology: an empirical investigation in the MENA region (2012) (11)
- The Determinants of De Novo Bank Survival (1999) (11)
- Foreign ownership, bank information environments, and the international mobility of corporate governance (2019) (11)
- Bank financing, institutions and regional entrepreneurial activities: Evidence from China (2017) (11)
- Commercial Banks and Value Relevance of Derivative Disclosures after SFAS 133: Evidence from the USA (2013) (10)
- Complementarities between IT and Firm Diversification and Performance Implications (2006) (10)
- Managerial Style and Bank Loan Contracting (2013) (10)
- Senior debt and market discipline: Evidence from bank-to-bank loans (2019) (10)
- Institutional Development, Ownership Structure, and Business Strategies: A New Era in the Chinese Banking Industry (2009) (10)
- Finance-growth nexus and banking efficiency: The impact of microfinance institutions (2020) (10)
- Do venture capital firms benefit from a presence on boards of directors of mature public companies (2017) (10)
- Option‐Adjusted Delta Credit Spreads: A Cross‐Country Analysis (2012) (10)
- EFFECTS OF CORPORATE AND COUNTRY GOVERNANCE ON R&D INVESTMENT: EVIDENCE FROM EMERGING MARKETS (2015) (10)
- Government Intervention and Institutional Trading Strategy: Evidence from a Transition Country (2012) (9)
- Stock liquidity and corporate labor investment (2021) (9)
- Bank Enforcement Actions and the Terms of Lending (2016) (9)
- Returns to Retail Banking and Payments (2011) (9)
- Mutual to Stock Conversion, Information Cost, and Thrift Performance (1997) (9)
- Externality of Stock Liquidity to the Cost of Borrowing (2016) (9)
- Strategic Conservative Earnings Management of Technology Firms: Evidence from the IPO Market (2012) (9)
- Investor relations and IPO performance (2020) (9)
- Accounting quality in banking: The role of regulatory interventions (2018) (9)
- Local banks as difficult-to-replace SME lenders: Evidence from bank corrective programs (2020) (9)
- The Role of Earnings and Book Values in Pricing Stocks: Evidence from Turkey (2006) (9)
- Consumer defaults and social capital (2021) (9)
- Financing choice and local economic growth: evidence from Brazil (2021) (8)
- The Impact of Political Uncertainty on Institutional Ownership (2013) (8)
- Are Bank Capital Requirements Optimally Set? Evidence from Researchers’ Views (2020) (8)
- The certification role of financial advisors in cross-border M&As (2014) (8)
- CEO Political Affiliation and Firms’ Tax Avoidance (2012) (8)
- Bank Consolidation and New Business Formation (2007) (8)
- Lock-In Effects in Relationship Lending: Evidence from Dip Loans (2019) (8)
- The consumption-based capital asset pricing model: International evidence (1998) (8)
- New venture investment : choices and consequences (2003) (8)
- Financial analysts' career concerns and the cost of private debt (2021) (8)
- Macroeconomic Factors and the Asymmetric Predictability of Conditional Variances (1998) (7)
- Enforceability of noncompetition agreements and firm innovation: does state regulation matter? (2017) (7)
- Credit allocation when borrowers are economically linked: An empirical analysis of bank loans to corporate customers (2020) (7)
- Home Preference at Selecting Financial Advisors in Cross-Border M&As (2012) (7)
- Distribution strategy and movie performance: an empirical note (2015) (7)
- Credit Default Swaps and Bank Loan Sales: Evidence from Bank Syndicated Lending (2017) (7)
- Quantitative Methods for Finance and Investments (2002) (7)
- Investment Analysts' Forecasts of Earnings (2009) (7)
- Bank Market Power and Loan Contracts: Empirical Evidence (2017) (7)
- What Determines Information Content in Bank Stock Price? Global Evidence (2010) (6)
- Managerial Ability and Value Relevance of Earnings (2020) (6)
- BANK PRIVATIZATION AND CONVERGENCE OF PERFORMANCE: INTERNATIONAL EVIDENCE (2011) (6)
- An IT professional’s dilemma: be an entrepreneur or a consultant? (2005) (6)
- Lock‐In Effects in Relationship Lending: Evidence from DIP Loans (2018) (6)
- Why are some Chinese firms failing in the US capital markets? A machine learning approach (2020) (6)
- The Determinants of Global Bank Credit-Default-Swap Spreads (2015) (6)
- Research in Banking and Finance (2003) (6)
- COVID-19 Pandemic and Global Corporate CDS Spreads (2021) (6)
- The Use of Accounting Data to Predict Bank Financial Distress in MENA Countries (2010) (6)
- Stereotypes in Person-to-Person Lending: Evidence from Debt Crowdfunding (2017) (6)
- The income smoothing hypothesis: an analysis of the thrift industry (1994) (6)
- Personal Bankruptcy Law and New Business Formation (2009) (6)
- Analysts' forecasts: Why are they biased? (2007) (6)
- Profit shifting and tax‐rate uncertainty (2020) (5)
- The choice of IPO versus M&A: evidence from banking industry (2009) (5)
- Executives with customer experience and firm performance in the B2B context (2021) (5)
- Executive Equity Risk-Taking Incentives and Firms’ Choice of Debt Structure (2021) (5)
- Managerial Effect or Firm Effect: Evidence from the Private Debt Market (2020) (5)
- Unpacking the Effects of Corporate Venture Capital Investor Ties on the Reduction of Price Discounting among IPO Firms (2011) (5)
- Local Product Market Competition and Bank Loans (2016) (5)
- Going Public: An Empirical Investigation of U.S. Bound Israeli IPOs (2010) (5)
- External social networks and earnings management (2021) (5)
- An Assessment And Teaching Strategies Of An Integrated Model For Management And Economics Instruction For Engineers (1996) (5)
- Gender, ethnicity, and demographic factors influencing promotions to managers for auditors: An empirical analysis (2002) (5)
- Investor Protections, Capital Markets, and Economic Growth: The African Experience (2015) (5)
- TRANSPARENCY AND VALUE RELEVANCE: THE EXPERIENCE OF SOME MENA COUNTRIES (2003) (5)
- CEO Network Centrality and the Likelihood of Financial Reporting Fraud (2021) (5)
- The influence of corporate venture capital investment on the likelihood of attracting a prestigious underwriter: An empirical investigation (2011) (5)
- Gender, Credit, and Firm Outcomes (2019) (5)
- Financial Technologies and the Effectiveness of Monetary Policy Transmission (2020) (5)
- Loan syndication under Basel II: How do firm credit ratings affect the cost of credit? (2020) (4)
- Deposit Insurance and the 2008-2009 Global Financial Crisis (2017) (4)
- The Power of a Financially Literate Woman in Intra-Household Financial Decision-Making (2020) (4)
- Motivating High‐Impact Innovation: Evidence from Managerial Compensation Contracts (2019) (4)
- Political Uncertainty and Bank Loan Contracts: Does Government Quality Matter? (2020) (4)
- Corporate Reputation in Bond Market: Evidence from Lawsuits (2018) (4)
- Unpacking the endorsement effects of corporate venture capital investing: Do equity markets value information or discipline? (2003) (4)
- Evidence for the Existence of Downward Real Earnings Management (2014) (4)
- The Future of Financial Markets (2006) (4)
- The Effects of Internal Integration of the MENA Region and its Integration with the EU: Impact on Real Effective Exchange-Rate Volatility, Institutional Quality and Growth for MENA Countries (2004) (4)
- The Influence of Bondholder Concentration and Temporal Orientation on Investments in R&D (2020) (4)
- The Role of Auditors in Merger and Acquisition Completion Time (2018) (4)
- Foreign bank ownership and income inequality: empirical evidence (2020) (4)
- The Government’s Role in Government-owned Banks (2013) (4)
- The Dark Side of Unregulated Artificial Intelligence: Evidence from Online Marketplace Lending (2020) (4)
- What Type of Finance Matters for Growth (2016) (4)
- Bank valuation in new EU member countries (2014) (4)
- Determinants of Capital Budgeting Strategies: An Econometric Analysis of U.S. Multinational Subsidiaries (1997) (4)
- State enforceability of noncompete agreements: Regulations that stifle productivity! (2018) (4)
- VC Participation and Failure of Startups: Evidence from P2p Lending Platforms in China (2020) (4)
- Managerial Effect or Firm Effect: Evidence from Private Debt Market (2015) (4)
- Political Ties and Capital Raising in Global Markets: Evidence from Yankee Bonds (2019) (3)
- Public disclosure and bank loan contracting: evidence from emerging markets (2014) (3)
- CEO Compensation and Covenant Violations (2011) (3)
- Corporate governance, creditor protection, and bank loan contracting in emerging markets (2007) (3)
- Corporate Social Responsibility and Profit Shifting (2019) (3)
- Determinants of International Capital Structure for U.S. Foreign Subsidiaries (1995) (3)
- Explicit Deposit Insurance Design: International Effects on Bank Lending During the Global Financial Crisis (2022) (3)
- Mergers and Target Transparency (2014) (3)
- Friends for the Benefits: The Effects of Political Ties on Sovereign Borrowing Conditions (2019) (3)
- Debt Structure When Bankruptcy Law Offers Incentives to Restructure (2016) (3)
- Profit Shifting and Tax - Rate Uncertainty (2016) (3)
- The real impact of ratings-based capital rules on the finance-growth nexus (2016) (3)
- BANK OF FINLAND DISCUSSION PAPERS (2000) (3)
- Contagious bank runs in the free banking period (1989) (3)
- How Stock Exchange Mergers and Acquisitions Affect Competitors’ Shareholder Value: Global Evidence (2012) (3)
- Should Short-Selling Be Restricted During a Financial Crisis? (2010) (3)
- Corporate disclosure and financing arrangements: Evidence from syndicated loans in emerging markets (2015) (3)
- Firm social networks, trust, and security issuances (2020) (3)
- Technical Efficiency in Bank Liquidity Creation (2017) (3)
- Bank failures, local business dynamics, and government policy (2021) (3)
- Venture capital investment, regional innovation and new business creation: a research note (2016) (3)
- Bank Ownership and Performance: A Global Perspective (2012) (3)
- Corporate Misconduct and the Cost of Private Debt: Evidence from China (2019) (3)
- Do Affiliated Bankers on Board Enhance Corporate Social Responsibility? US Evidence (2021) (3)
- The Promises and Pitfalls of WealthTech: Evidence from Online Marketplace Lending (2020) (3)
- Does it pay to get connected? An examination of bank alliance network and bond spread (2018) (3)
- Contagion effects and banks closed in the free banking period (1988) (3)
- The Endorsement Effects of Corporate Venture Capital in the Creation of Public Companies (2005) (3)
- Are Credit Rating Disagreements Priced in the M&A Market? (2021) (2)
- Executive Equity Risk-Taking Incentives and Firm's Choice of Debt Structure (2019) (2)
- Productivity, managers’ social connections and the financial crisis (2022) (2)
- Natural-Disaster Experience and Risk-taking Behaviors: Evidence from Individual Investor Trading (2019) (2)
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- Risk Management Research Report - Spring 2010 (2009) (1)
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- Networks and Stock Market Integration (2006) (0)
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- Corporate Venture Capital 1. (2010) (0)
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- Economic preferences for risk-taking and financing costs (2023) (0)
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- The Diversification Discount: It's All Cash Flows (2004) (0)
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- The Thirteenth Dubrovnik Economic Conference (2007) (0)
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- Introduction (1978) (0)
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- IRFA special issue — Surrey-Fordham Conference on “Banking, Finance, Money and Institutions: The post crisis era” (2016) (0)
- Productivity, Managers’ Social Connections and the Great Recession (2020) (0)
- Democracy, Institutions, and International Profit-Shifting (2022) (0)
- Securities Settlement Systems (2006) (0)
- Corporate Tax Changes and Credit Costs (2022) (0)
- Agency Cost of CEO Perquisite in the Bank Loan Contracts (2016) (0)
- Is There Anything Special About Local Banks As SME Lenders? Evidence From Bank Corrective Programs (2018) (0)
- Asymmetric Reactions of Abnormal Audit Fees Jump to Credit Rating Changes (2023) (0)
- CEO Global Reputation and Cross-Border M&A: Evidence from CEO’s Twitter Account (2021) (0)
- The real effects of bank lobbying: Evidence from the corporate loan market (2022) (0)
- Replication package for: Quid pro quo? Political ties and sovereign borrowing (2021) (0)
- Bank Safety-oriented Culture and Lending Decisions (2021) (0)
- Local Corruption, Whistleblowing, and Debt Financing (2020) (0)
- How Bondholders Influence Firm Innovation (2016) (0)
- Comovements in Corporate Waves and the Monetary Policy (2020) (0)
- Private Information and Lender Discretion Across Time and Institutions (2018) (0)
- Volume 1: Recap and goals (2006) (0)
- Deposit Insurance and Design: Effects on Bank Lending During the Global Financial Crisis (2020) (0)
- Creditor Control Rights and the Non-Synchronicity of Global CDS Markets (2023) (0)
- In Memoriam (1977) (0)
- Introduction to the tribute – Jim Lothian special issue (2016) (0)
- The Diplomacy Discount in Global Syndicated Loans (2020) (0)
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What Schools Are Affiliated With Iftekhar Hasan?
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