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Publications

by members of

College of Business Administration
Florida International University
Miami, Florida (United States)

These are publications listed in RePEc written by members of the above institution who are registered with the RePEc Author Service. Thus this compiles the works all those currently affiliated with this institution, not those affilated at the time of publication. List of registered members. Register yourself. Citation analysis. This page is updated in the first days of each month.
| Working papers | Journal articles |

Working papers

2020

  1. Sean Cao & Wei Jiang & Baozhong Yang & Alan L. Zhang, 2020. "How to Talk When a Machine is Listening?: Corporate Disclosure in the Age of AI," NBER Working Papers 27950, National Bureau of Economic Research, Inc.

2015

  1. De Jonghe, O.G. & Öztekin, Ö., 2015. "Bank capital management : International evidence," Other publications TiSEM 678d7410-481b-496f-98d5-d, Tilburg University, School of Economics and Management.

2008

  1. Allen N. Berger & Robert DeYoung & Mark J. Flannery & David Lee & Ozde Oztekin, 2008. "How do large banking organizations manage their capital ratio?," Research Working Paper RWP 08-01, Federal Reserve Bank of Kansas City.

Journal articles

2023

  1. Lauren Russell & Jorge N. Zumaeta & Aaron Colston & William A. Darity Jr., 2023. "The Incarceration Penalty and Black-White Economic Inequality: The Case of Baltimore," AEA Papers and Proceedings, American Economic Association, vol. 113, pages 456-461, May.

2022

  1. Öztekin, Özde, 2022. "Systemic Banking Crises, Institutional Environment, and Corporate Leverage," Journal of Financial and Quantitative Analysis, Cambridge University Press, vol. 57(3), pages 1115-1141, May.

2021

  1. Sean Shun Cao & Kai Du & Baozhong Yang & Alan L. Zhang, 2021. "Copycat Skills and Disclosure Costs: Evidence from Peer Companies’ Digital Footprints," Journal of Accounting Research, Wiley Blackwell, vol. 59(4), pages 1261-1302, September.
  2. Ali Gungoraydinoglu & Ilke Öztekin & Özde Öztekin, 2021. "The Impact of COVID-19 and Its Policy Responses on Local Economy and Health Conditions," JRFM, MDPI, vol. 14(6), pages 1-27, May.
  3. Ali Gungoraydinoglu & Özde Öztekin, 2021. "Financial Leverage and Debt Maturity Targeting: International Evidence," JRFM, MDPI, vol. 14(9), pages 1-36, September.
  4. Amini, Shahram & Elmore, Ryan & Öztekin, Özde & Strauss, Jack, 2021. "Can machines learn capital structure dynamics?," Journal of Corporate Finance, Elsevier, vol. 70(C).
  5. Upadhyay, Arun & Öztekin, Özde, 2021. "What matters more in board independence? Form or substance: Evidence from influential CEO-directors," Journal of Corporate Finance, Elsevier, vol. 71(C).
  6. Jorge N. Zumaeta Ph.D., 2021. "An Econometric Analysis of the Effects of the Job Training Partnership Act on Self-Sufficiency," The Journal of Social Sciences Research, Academic Research Publishing Group, vol. 7(2), pages 66-74, 06-2021.
  7. Jorge N. Zumaeta Ph.D., 2021. "A Logistic Regression Analysis to Assist Welfare Recipients Attaining Employment," The Journal of Social Sciences Research, Academic Research Publishing Group, vol. 7(2), pages 75-91, 06-2021.
  8. Jorge N Zumaeta, 2021. "Meta-Analysis of Seven Standard Experimental Paradigms Comparing Student to Non-student," Journal of Economics and Behavioral Studies, AMH International, vol. 13(2), pages 22-33.
  9. Jorge N Zumaeta, 2021. "Money Illusion in Charitable Giving in the Absence of Market Price Resistance," Journal of Economics and Behavioral Studies, AMH International, vol. 13(3), pages 24-33.

2018

  1. Çolak, Gönül & Gungoraydinoglu, Ali & Öztekin, Özde, 2018. "Global leverage adjustments, uncertainty, and country institutional strength," Journal of Financial Intermediation, Elsevier, vol. 35(PA), pages 41-56.

2017

  1. Gungoraydinoglu, Ali & Çolak, Gönül & Öztekin, Özde, 2017. "Political environment, financial intermediation costs, and financing patterns," Journal of Corporate Finance, Elsevier, vol. 44(C), pages 167-192.

2016

  1. Chun-Hao Chang & Ajeet Jain & Edward R. Lawrence & Arun J. Prakash, 2016. "The Tax Exemption to Subchapter S Banks: Who Gets the Benefit?," The Financial Review, Eastern Finance Association, vol. 51(3), pages 329-362, August.

2015

  1. Anand Jha & Siddharth Shankar & Arun Prakash, 2015. "Effect Of Bank Monitoring On Earnings Management Of The Borrowing Firm: An Empirical Investigation," Journal of Financial Research, Southern Finance Association;Southwestern Finance Association, vol. 38(2), pages 219-254, June.
  2. Öztekin, Özde, 2015. "Capital Structure Decisions around the World: Which Factors Are Reliably Important?," Journal of Financial and Quantitative Analysis, Cambridge University Press, vol. 50(3), pages 301-323, June.
  3. De Jonghe, Olivier & Öztekin, Özde, 2015. "Bank capital management: International evidence," Journal of Financial Intermediation, Elsevier, vol. 24(2), pages 154-177.

2014

  1. Bonaimé, Alice Adams & Öztekin, Özde & Warr, Richard S., 2014. "Capital structure, equity mispricing, and stock repurchases," Journal of Corporate Finance, Elsevier, vol. 26(C), pages 182-200.

2013

  1. Hibbert, Ann Marie & Lawrence, Edward R. & Prakash, Arun J., 2013. "Does knowledge of finance mitigate the gender difference in financial risk-aversion?," Global Finance Journal, Elsevier, vol. 24(2), pages 140-152.

2012

  1. Öztekin, Özde & Flannery, Mark J., 2012. "Institutional determinants of capital structure adjustment speeds," Journal of Financial Economics, Elsevier, vol. 103(1), pages 88-112.
  2. Flannery, Mark J. & Nikolova, Stanislava (Stas) & Öztekin, Özde, 2012. "Leverage Expectations and Bond Credit Spreads," Journal of Financial and Quantitative Analysis, Cambridge University Press, vol. 47(4), pages 689-714, August.
  3. Warr, Richard S. & Elliott, William B. & Koëter-Kant, Johanna & Öztekin, Özde, 2012. "Equity Mispricing and Leverage Adjustment Costs," Journal of Financial and Quantitative Analysis, Cambridge University Press, vol. 47(3), pages 589-616, June.

2011

  1. Gungoraydinoglu, Ali & Öztekin, Özde, 2011. "Firm- and country-level determinants of corporate leverage: Some new international evidence," Journal of Corporate Finance, Elsevier, vol. 17(5), pages 1457-1474.

2009

  1. Mishra, Suchi & Rowe, Wei & Prakash, Arun & Ghosh, Dilip K., 2009. "Spread behavior around board meetings for firms with concentrated insider ownership," Journal of Financial Markets, Elsevier, vol. 12(4), pages 592-610, November.

2008

  1. Dedman, Elisabeth & Lin, Stephen W.-J & Prakash, Arun J. & Chang, Chun-Hao, 2008. "Voluntary disclosure and its impact on share prices: Evidence from the UK biotechnology sector," Journal of Accounting and Public Policy, Elsevier, vol. 27(3), pages 195-216.
  2. Chung Baek, Arun J Prakash, Bruce Dupoyet, 2008. "Fundamental Capital Valuation for IT Companies: A Real Options Approach," Frontiers in Finance and Economics, SKEMA Business School, vol. 5(1), pages 1-26, April.
  3. Allen Berger & Robert DeYoung & Mark Flannery & David Lee & Özde Öztekin, 2008. "How Do Large Banking Organizations Manage Their Capital Ratios?," Journal of Financial Services Research, Springer;Western Finance Association, vol. 34(2), pages 123-149, December.

2007

  1. Duong Nguyen & Suchismita Mishra & Arun Prakash & Dilip K. Ghosh, 2007. "Liquidity And Asset Pricing Under The Three‐Moment Capm Paradigm," Journal of Financial Research, Southern Finance Association;Southwestern Finance Association, vol. 30(3), pages 379-398, September.
  2. Suchismita Mishra & Arun Prakash & Gordon Karels & Therese Pactwa, 2007. "Skewness preference and the measurement of abnormal returns," Applied Economics, Taylor & Francis Journals, vol. 39(6), pages 739-757.

2005

  1. Arun J. Prakash, Suchismita Mishra, Dispari Ghosh, 2005. "The Kraus and Litzenberger Quadratic Characteristic Line and Event Studies," Frontiers in Finance and Economics, SKEMA Business School, vol. 2(2), pages 67-78, December.
  2. Suchismita Mishra & Arun Prakash & Gordon Karels & Manferd Peterson, 2005. "Bank mergers and components of risk: An evaluation," Journal of Economics and Finance, Springer;Academy of Economics and Finance, vol. 29(1), pages 85-96, March.

2004

  1. Chang, Chun-Hao & Prakash, Arun J. & Yeh, Shu, 2004. "Sale of monopoly information and behavior of rivaling clients: A theoretical perspective," Review of Financial Economics, Elsevier, vol. 13(3), pages 283-304.

2003

  1. Prakash, Arun J. & Chang, Chun-Hao & Pactwa, Therese E., 2003. "Selecting a portfolio with skewness: Recent evidence from US, European, and Latin American equity markets," Journal of Banking & Finance, Elsevier, vol. 27(7), pages 1375-1390, July.

2001

  1. Dilip K. Ghosh & Arun J. Prakash, 2001. "Strategic Rules On Speculation In The Foreign Exchange Market," Journal of Financial Research, Southern Finance Association;Southwestern Finance Association, vol. 24(1), pages 15-26, March.
  2. Gauri Ghai & Maria De Boyrie & Shahid Hamid & Arun Prakash, 2001. "Estimation of global systematic risk for securities listed in multiple markets," The European Journal of Finance, Taylor & Francis Journals, vol. 7(2), pages 117-130.

1997

  1. Chunhachinda, Pornchai & Dandapani, Krishnan & Hamid, Shahid & Prakash, Arun J., 1997. "Portfolio selection and skewness: Evidence from international stock markets," Journal of Banking & Finance, Elsevier, vol. 21(2), pages 143-167, February.

1986

  1. Prakash, Arun J & Bear, Robert M, 1986. "A Simplifying Performance Measure Recognizing Skewness," The Financial Review, Eastern Finance Association, vol. 21(1), pages 135-144, February.

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