Kevin Keasey
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British academic
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Business Economics
Kevin Keasey's Degrees
- PhD Finance University of York
- Masters Finance University of York
- Bachelors Economics University of York
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Why Is Kevin Keasey Influential?
(Suggest an Edit or Addition)According to Wikipedia, Kevin Keasey is Professor of Accounting and Finance, Director of the International Banking Institute and Director of the Centre for Advanced Studies in Finance at Leeds University Business School, University of Leeds.
Kevin Keasey's Published Works
Published Works
- Managerial ownership and the performance of firms: Evidence from the UK (1999) (796)
- The Link between Dividend Policy and Institutional Ownership (2002) (431)
- Non‐Financial Symptoms and the Prediction of Small Company Failure: A Test of Argenti's Hypotheses (1987) (330)
- A note on the weak form efficiency of capital markets: The application of simple technical trading rules to UK stock prices - 1935 to 1994 (1996) (325)
- Issues In Corporate Accountability and Governance: An Editorial (1993) (232)
- The Performance of Small Firms: Profits, Jobs and Failures (1987) (179)
- Financial Distress Prediction Models: A Review of Their Usefulness1 (1991) (175)
- Corporate Governance, Economic, Management, and Financial Issues (1998) (174)
- Corporate governance : accountability, enterprise and international comparisons (2005) (157)
- A Cross-Country Analysis of Herd Behavior in Europe (2014) (138)
- Corporate governance: From accountability to enterprise (1999) (135)
- Capital Structure, Management Ownership and Large External Shareholders: A UK Analysis (2002) (122)
- Bank resilience to systemic shocks and the stability of banking systems: Small is beautiful (2012) (118)
- The relationship between job satisfaction and managerial remuneration in small and medium-sized enterprises: an empirical test of ‘comparison income’ and ‘equity theory’ hypotheses (1996) (113)
- Corporate governance : economic and financial issues (1997) (113)
- Small Firm Management: Ownership, Finance and Performance (1993) (111)
- THE FAILURE OF UK INDUSTRIAL FIRMS FOR THE PERIOD 1976–1984, LOGISTIC ANALYSIS AND ENTROPY MEASURES (1990) (107)
- Corporate governance in the public services: Concepts and issues (1996) (107)
- Gambling with the house money in capital expenditure decisions: An experimental analysis (1996) (106)
- Investor Protection and the Value Effects of Bank Merger Announcements in Europe and the US (2008) (103)
- Real and accrual earnings management and IPO failure risk (2015) (97)
- The State of the Art of Small Firm Failure Prediction: Achievements and Prognosis (1991) (97)
- Multilogit approach to predicting corporate failure—Further analysis and the issue of signal consistency (1990) (97)
- The Oxford Handbook of Corporate Governance (2013) (95)
- Corporate Governance, Responsibilities, Risks and Remuneration (1998) (89)
- Does the impact of board independence on large bank risks change after the global financial crisis (2017) (84)
- Further reflections on the nature of intuition‐analysis and the construct validity of the Cognitive Style Index (2003) (80)
- The Small Company Audit Qualification: A Preliminary Investigation (1988) (79)
- Pre-holiday effects: International evidence on the decline and reversal of a stock market anomaly (2005) (78)
- Corporate Governance and Information Efficiency in Security Markets (2006) (70)
- Young family firms: Financing decisions and the willingness to dilute control (2015) (70)
- The Accounting Burdens Facing Small Firms: An Empirical Research Note (1990) (68)
- What is internationalization (1999) (67)
- The value of board diversity in banking: evidence from the market for corporate control (2012) (66)
- A new approach to linking strategy formulation and strategy implementation: an example from the UK banking sector (2000) (63)
- Post-Merger Strategy and Performance: Evidence from the US and European Banking Industries (2009) (61)
- Bank Governance and Acquisition Performance (2007) (61)
- Board Monitoring, Regulation, and Performance in the Banking Industry: Evidence from the Market for Corporate Control (2010) (60)
- A review of the international literature on the short term predictability of stock prices conditional on large prior price changes: Microstructure, behavioral and risk related explanations (2013) (60)
- The Prediction of Small Company Failure: Some Behavioural Evidence for the UK (1986) (60)
- The bank financing of small firms in UK: Issues and evidence (1994) (60)
- Prospectus Earnings Forecasts and the Pricing of New Issues on the Unlisted Securities Market (1991) (59)
- The determinants of the costs of financial distress in SMEs (2015) (54)
- Corporate Governance, Accountability and Enterprise (1998) (53)
- Intra Day Bid-Ask Spreads, Trading Volume and Volatility: Recent Empirical Evidence from the London Stock Exchange (2004) (52)
- Equity retention and initial public offerings: the influence of signalling and entrenchment effects (1997) (52)
- Directors' ownership and the performance of small and medium sized firms in the U.K. (1994) (51)
- Are Market‐Based Measures of Global Systemic Importance of Financial Institutions Useful to Regulators and Supervisors? (2015) (50)
- Small new firms and the return to alternative sources of finance (1990) (49)
- A Comparative Analysis of Real and Accrual Earnings Management Around Initial Public Offerings Under Different Regulatory Environments (2013) (45)
- The Non-submission of Accounts and Small Company Financial Failure Prediction (1988) (42)
- Mental accounting and decision making:: The relationship between relative and absolute savings (1999) (41)
- Market Reaction to Earnings News: A Unified Test of Information Risk and Transaction Costs (2013) (40)
- The Risk Implications of Insurance Securitization: The Case of Catastrophe Bonds (2013) (39)
- Finance Theory: A House Without Windows (2007) (38)
- CURRENT COST ACCOUNTING AND THE PREDICTION OF SMALL COMPANY PERFORMANCE (1986) (38)
- Share prices under Tory and Labour governments in the UK since 1945 (1998) (38)
- The role of venture capitalists in small and medium-sized enterprise initial public offerings: Evidence from China (2014) (38)
- An Empirical Investigation of the Role of Signalling in the Valuation of Unseasoned Equity Issues (1992) (37)
- Mental accounting and decision making: Evidence under reverse conditions where money is spent for time saved (2005) (37)
- The underpricing of initial public offerings: Some UK evidence (1992) (35)
- Which trades move prices in emerging markets?: Evidence from China's stock market (2006) (32)
- The equity funding of smaller growing companies and regional stock exchanges (2012) (28)
- Stock return predictability despite low autocorrelation (2010) (28)
- Firm value and its relation to equity retention levels, forecast earnings disclosures and underpricing in initial public offerings in Hong Kong (2008) (27)
- Consensus and accuracy in accounting studies of decision-making: A note on a new measure of consensus (1989) (27)
- Market Efficiency and Returns to Simple Technical Trading Rules: Further Evidence from U.S., U.K., Asian and Chinese Stock Markets (2005) (26)
- Small Firm Financial Contracting and Immigrant Entrepreneurship (2000) (25)
- Influence of Cultural Factors on Price Clustering and Price Resistance in China's Stock Markets (2007) (24)
- Do the disposition and house money effects coexist? A reconciliation of two behavioral biases using individual investor-level data (2015) (24)
- Aspects of corporate governance (1999) (24)
- CEO Turnover in Large Banks: Does Tail Risk Matter? (2017) (24)
- Growing beyond smallness: How do small, closely controlled firms survive? (2010) (23)
- How prior realized outcomes affect portfolio decisions (2013) (23)
- Patient and Public Participation in the English NHS: An assessment of experimental implementation processes (2015) (23)
- The predictive ability and profitability of technical trading rules: does company size matter? (2005) (23)
- The Remuneration Of Non‐Owner Managers In Small And Medium‐Sized Uk Enterprises (1994) (22)
- Non‐executive directors and the Higgs consultation paper, ‘Review of the role and effectiveness of non‐executive directors’ (2002) (22)
- Bank deregulation and acquisition activity: the cases of the US, Italy and Germany (2007) (21)
- Performance measurement and the use of league tables: some experimental evidence of dysfunctional consequences (2000) (20)
- Lessons from the Northern Rock affair (2008) (20)
- Executive compensation in the UK (2006) (19)
- National Health Service Boards of Directors and Governance Models (2011) (19)
- The Impact of Mega‐Catastrophes on Insurers: An Exposure‐Based Analysis of the U.S. Homeowners’ Insurance Market (2014) (19)
- Tick size and the compass rose: further insights (2000) (18)
- The Listing of Chinese State-Owned Banks and their Path to Banking and Ownership Reform (2010) (18)
- Consumer debt in the UK: Attitudes and implications (2005) (17)
- The Shareholder Wealth Effects of Insurance Securitization: Preliminary Evidence from the Catastrophe Bond Market (2012) (17)
- Competition and the Provision of Banking Services to SMEs in the U.K. (2005) (17)
- NHS boards: knowing the ‘what’ but not the ‘how’ (2010) (17)
- The failure of small British Initial Public Offerings on the UK Alternative Investment Market: A research note on spatial and industry effects (2013) (16)
- Why investors should be cautious of the academic approach to testing for stock market anomalies (2002) (16)
- When Banks Grow Too Big for Their National Economies: Tail Risks, Risk Channels, and Government Guarantees (2016) (15)
- Industrial policy as an engine of economic growth: A framework of analysis and evidence from South Korea (1960–96) (2012) (15)
- Sunk cost effects: a test of the importance of context (2000) (15)
- Financial constraints and employee satisfaction (2019) (14)
- As time goes by: An investigation of how asset allocation varies with investor age (2006) (14)
- Conversion, Performance and Executive Compensation in UK Building Societies (2004) (14)
- Interest Rate Premia on UK Small-Firm Bank Borrowings: A Research Note (2000) (13)
- A New Test of Signaling Theory (2008) (13)
- The Bank Financing of Small Unlisted Firms in the UK: An Analysis of Recent Conflicts (1995) (12)
- An Agency Perspective of Auditor Change in Small Firms (1991) (12)
- Do financial crises cleanse the banking industry? Evidence from US commercial bank exits (2019) (12)
- Trading Frictions and Market Structure: An Empirical Analysis (2007) (11)
- TIME DIVERSIFICATION: AN ESSAY ON THE NEED TO REVISIT FINANCE THEORY (1999) (10)
- Informed Trading and Market Structure (2015) (10)
- A (new) model of board of directors: evidence from the National Health Service (2012) (10)
- How people evaluate defined contribution, annuity-based pension arrangements: A behavioral exploration (2013) (10)
- New issues on the U.K. Unlisted Securities Market: The ability of entrepreneurs to signal firm value (1992) (10)
- Underpricing in new equity listings: A conceptual re-appraisal (1995) (10)
- Share dealing on the web: a comprehensive review of design specifications across the globe (2000) (10)
- The profitability, costs and systematic risk of the post-earnings-announcement-drift trading strategy (2014) (9)
- The Volatility of European Banking Systems: A Two-Decade Study (2013) (9)
- The Winner's Curse Model of Underpricing: A Critical Assessment (1992) (9)
- The risk and return of UK equities following price innovations: a case of market inefficiency? (2001) (9)
- Institutional Voting in the UK: Is Mandatory Voting the Answer? (1997) (9)
- Repeated decisions and attitudes to risk (1994) (8)
- Trading frequency and the compass rose (2003) (8)
- Does Debt Concentration Depend on the Risk-Taking Incentives in CEO Compensation? (2018) (7)
- Informed choice: consumer preferences for information on pensions (2005) (7)
- Forecasting Using High-Frequency Data: A Comparison of Asymmetric Financial Duration Models (2008) (7)
- Consequences of the Capital Asset Pricing Model ( CAPM )—a Critical and Broad Perspective (2013) (7)
- The Significance and Implications of Being a Subprime Homeowner in the UK (2012) (7)
- Board financial expertise and the capital decisions of US banks (2021) (7)
- Comparative Performance of UK Mutual Building Societies and Stock Retail Banks: Further Evidence (2008) (7)
- Understanding Asset Pricing Anomalies Across the Globe: The Role of Newswatchers (2016) (6)
- The pricing of small firm bank finance: evidence from the UK (1995) (6)
- Regret Theory and Information: A Note (1984) (6)
- Are Market-Based Rankings of Global Systemically Important Financial Institutions Useful for Regulators? (2014) (6)
- Effects of Audit Quality on Real and Accrual Earnings Management and Subsequent Return Performance: Evidence from IPOs (2013) (6)
- The 1986 U.K. Insolvency and Company Directors' Disqualification Acts: An evaluation of their impacts upon small firm financing decisions (1994) (6)
- OWNER-MANAGER DRAWINGS, FIRM PERFORMANCE AND FINANCIAL STRUCTURE: AN ANALYSIS OF SMALL AND CLOSELY-HELD UK FIRMS (1996) (5)
- Size, Risk, and Governance in European Banking (2013) (5)
- DEREGULATION AND PRIVATISATION OF LOCAL BUSES IN THE UNITED KINGDOM (1986) (4)
- Electronic trading platforms and the cost-effective distribution of open market option (OMO) pension annuities (2006) (4)
- Systemic Size, Bank Risk and Systemic Crises (2012) (4)
- Information and decision making: A search for method and understanding (1992) (3)
- The Intelligent Guide to Stock Market Investment (1999) (3)
- Should actions speak louder than words? Individuals' attitudes and behavior in asset allocation choices (2005) (3)
- Lending decision making and the Competition Commission report on the provision of banking services to small firms (2003) (3)
- Does Bank Default Risk Increase with Information Asymmetry? Evidence from Europe (2013) (3)
- The Costs of SME ’ s Financial Distress across Europe (2010) (3)
- Nonlinear Effects of Market Development on Pricing Anomalies (2018) (2)
- Regulation of the alternative investment market (AIM) - a tale of potential woe? (2007) (2)
- Opportunity costs for decision making: a teaching resource to illustrate the difficulties of practice (1995) (2)
- Managerial ownership and the performance of firms (2018) (2)
- Internal Rating Based Models: Do They Matter for Bank Profit Margins? (2019) (2)
- Did Basel II Affect Credit Growth to Corporate Borrowers During the Crisis (2016) (2)
- The use of league tables in financial services (2000) (2)
- The Incentives of Creditors to Monitor Via Debt Concentration: The Impact of CEO Compensation Structure and Horizon (2016) (1)
- Bank branch deposit competitiveness and deposit growth: Granular data and a new measure of competitiveness (2021) (1)
- Corporate Governance and Information E¢ ciency in Security Markets: Results for Smaller Cap Companies in the UK (2005) (1)
- THE FUTURE OF COMPLIANCE IN RETAIL FINANCIAL SERVICES (1996) (1)
- The Shareholder Wealth Effects of Insurance Securitization : The Case of Catastrophe Bonds * (2011) (1)
- Financial Distress Prediction Models: A Review of Their Usefulness 1 (2019) (1)
- Size and Firm Performance: Size, Profit and Growth in Small and Large Companies (2016) (1)
- A Model of Information System Choice (1990) (1)
- Table 6.3 Managers* characteristics (2016) (0)
- Factor, Probit and Logit Analysis (2016) (0)
- Outside CEOs of Financial and Non-Financial Firms As Independent Directors on Bank Boards (2018) (0)
- Responses to governance issues (1999) (0)
- Investor Mix and Mutual Fund Performance: A Flow Based Measure of Relative Smartness (2020) (0)
- Expertise within the business (2016) (0)
- The Shareholder Wealth Effects of Insurance Securitization: Preliminary Evidence from the Catastrophe Bond Market (2012) (0)
- Money Laundering and the Internet: A Challenge for Regulation (2000) (0)
- The Emerging ASP Model: Enhancing Value and Changing Market Structure (2000) (0)
- wn = a + XP,A + ZP;^ + pj+1Zm + e : (6.8) (2016) (0)
- Background and scope of the text (2016) (0)
- Three Decades of Failed Bank Acquisitions (2021) (0)
- Analyst Coverage and Corporate Environmental Policies (2023) (0)
- Gender, Workplace Preferences, and Firm Performance: Looking Through the Glass Door (2023) (0)
- Non-economic explanations of firm structure, management and performance (2016) (0)
- Owners and firm size (2016) (0)
- The Volatility of European Banking Systems: A Two-Decade Study (2011) (0)
- Appendix 6.1: Variables extracted from interview data (2016) (0)
- New Entrants in the Banking Market: Reviewing Strategic Perspectives (2000) (0)
- Abstracts (1965) (0)
- Short Term Predictability, Volume and Microstructure Effects in Stock Prices (2008) (0)
- Which Fund Flow? (2021) (0)
- The Voice of Patients and the Public in the National Health Service: Issues of Implementation (2013) (0)
- How prior realized outcomes affect portfolio decisions (2012) (0)
- Multiple Discriminant Analysis (2016) (0)
- Repeated financial decisions : an experimental analysis : a research monograph (1999) (0)
- Small-firm performance and managerial labour markets : A framework for empirical analysis (2016) (0)
- The profitability, costs and systematic risk of the post-earnings-announcement-drift trading strategy (2013) (0)
- Teams and teamworking (2016) (0)
- Paying Too Much for Growth: A Limited Attention Effect (2018) (0)
- Paying Too Much for Growth: What have Investors Missed? (2018) (0)
- The Incentives of Creditors to Monitor via Debt Specialization : The Impact of CEO Horizons Compensation (2016) (0)
- Organizational characteristics and directors’ remuneration variables (2016) (0)
- Managerial labour markets (2016) (0)
- The economics of small-firm performance, growth and internal organization (2016) (0)
- Market Development, Information Diffusion, and the Global Anomaly Puzzle (2019) (0)
- Determinants of the component structure of intraday return distributions (2009) (0)
- Investor Protection and the Value E⁄ects of Bank Merger Announcements in Europe and the US y (2022) (0)
- Table 9.1 Managers who are most significant to the success of the business (2016) (0)
- The labour market for managers (2016) (0)
- Table 8.4 OLS regression estimates -piecewise form dependent variable = RTA (2016) (0)
- Which Alpha? Which Fund Flow? (2021) (0)
- The labour market for managers 131 (2016) (0)
- Appendix 7.1: Entrepreneurial characteristics (2016) (0)
- The prediction of private company failure: A comment (1985) (0)
- Accounting control and organizational behaviour: D. Otley Heinemann (London, 1987). 144pp. £12.95 (pbk) (1988) (0)
- Does Regulation Drive Banks to Issue Subordinated Debt? (2018) (0)
- Univariate Ratio Analysis (2016) (0)
- Innovation in the financial services sector: the case of telephone banking (2003) (0)
- Table 6.4 Current job characteristics (2016) (0)
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