Faculty Publications

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Faculty MemberPublicationDate
Yang, Ya-wenLin, S. ,  Martinez, D. ,  Wang, C. , &  Yang, (2017). Is other comprehensive income reported in the income statement more value relevant?. Journal of Accounting, Auditing & Finance.Jan 2017
Patel, AjayBryan, S. ,  Nash, R. C. , &  Patel, A. (2015). The Effect of Cultural Distance on Contracting Decisions: The Case of Executive Compensation. Journal of Corporate Finance.Aug 2015
Strickland, DanaMarcum, B. ,  Martin, D. , &  Strickland, D. (2015). Merger Waves and Corporate Inversions - Causes and Consequences. Journal of Corporate Accounting & Finance.Jul 2015
Yang, Ya-wenChen, H. ,  Parsley, D. , &  Yang, Y. (2015). Corporate lobbying and firm performance. Journal of Business, Finance & Accounting.Jan 2015
Yang, Ya-wenLaksmana, R. , &  Yang, Y. (2015). Product market competition and corporate investment decisions. Review of Accounting and Finance .Jan 2015
Canace, ThomasCanace, T. , &  Mann, S. V. (2014). The impact of technology-motivated M&A and joint ventures on the value of IT and non-IT firms: A New Examination. Review of Quantitative Finance and Accounting.Aug 2014
Brewer, PeterBrewer, P. ,  Sorensen, J. , &  Stout, D. (2014). The Future of Accounting Education: Addressing the Competency Crisis. Strategic Finance.Aug 2014
Canace, ThomasCanace, T. , &  Juras, P. (2014). The transforming role of the CFO: from analyst to catalyst (Recipient of William F. Lybrand Gold Medal Award for Most Outstanding Paper of the Year).. Strategic Finance .Feb 2014
Kelton, AndreaKelton, A. , &  Gaynor, L. M. (2014). The effects of analyst forecasts and earnings trends on perceptions of management forecast credibility. Accounting and Finance.Jan 2014
Harris, FrederickHarris, F. H. (2014). The Relationship Between Satellite and Home-Market Volumes: Evidence form Cross-Listed Singapore Futures Contracts. Pacific-Basin Finance Journal/Elsevier.Jan 2014
Brewer, PeterBrewer, P. , &  Kennedy, F. (2013). Putting Accountants on a ?Lean'Diet. Strategic Finance.Feb 2013
Strickland, DanaStrickland, D. ,  Marcum, B. , &  Martin, D. (2013). U.S. Firms: Still Holding Too Much Cash?. Journal of Corporate Accounting & Finance.Jan 2013
Yang, Ya-wenHenry, E. , &  Yang, Y. (2013). Does Multi-Standard Reporting Affect Analysts' Forecasts?. Journal of Corporate Accounting & Finance.Jan 2013
Resnick, BruceResnick, B. G. (2012). Investor Yield and Gross Underwriting Spread Comparisons among U.S. Dollar Domestic, Yankee, Eurodollar, and Global Bonds. Journal of International Money and Finance.Mar 2012
Resnick, BruceResnick, B. G. ,  Eun, C. S. , &  Sabherwal, S. (2012). International Finance: Global Edition. McGraw-Hill.Jan 2012
Patel, AjayPatel, A. ,  Clarke, J. ,  Khorana, A. , &  Ra (2011). Independent's Day? Analyst Behavior Surrounding the Global Settlement. Annals of Finance.Nov 2011
Canace, ThomasCanace, T. , &  Juras, P. (2011). C-ing business expansion opportunities. Strategic Finance .Aug 2011
Patel, AjayBryan, S. ,  Nash, R. C. , &  Patel, A. (2011). Law and Executive Compensation: A Cross-Country Study. Journal of Applied Corporate Finance.Mar 2011
Martin, DaleMartin, D. ,  Wathen, M. M. , &  Cotter, J. (2011). "Let's Get Creative: Innovative Deal Structures in an Illiquid Economy. The Journal of Corporate Accounting & Finance.Jan 2011
Strickland, DanaStrickland, D. ,  Martin, D. , &  Cotter, J. (2010). "Should Toeholds Be Part of Your Acquisition Strategy?". The Journal of Corporate Accounting & Finance.Jul 2010
Cianci, AnnaHsiao, H. ,  Chang, H. ,  Cianci, A. , &  Huan (2010). First financial restructuring and operating efficiency: Evidence from Taiwanese commercial banks. Journal of Banking and Finance.Jan 2010
Cianci, AnnaCianci, A. , &  Culbertson, S. (2010). The impact of motivational and cognitive factors on optimistic earnings forecasts. Handbook of Behavioral Finance. Edward Elgar Publishing, Inc. (publisher).Jan 2010
Harris, FrederickHarris, F. H. (2009). What IPO order flow reveals about the role of the underwriter in IPO aftermarkets. Int'l Journal of Mangerial Finance.Apr 2009
Martin, DaleMartin, D. ,  Wathen, M. M. , &  Klee, J. J. (2009). Doing the Right Deals. The Journal of Corporate Accounting & Finance.Jan 2009
Patel, AjayPatel, A. ,  Kuipers, D. K. , &  Miller, D. (2009). The Legal Environment and Corporate Valuation: Evidence from Cross-Border Takeovers.. International Review of Economics and Finance.Jan 2009
Hinson, YvonneJuras, P. E. , &  Hinson, Y. L. (2008). Leaders vs. Laggards: A Study of the Relationship Between Selected Board Composiiton Characteristics and Performance Along Various Banking Performance Measures. Advances in Accounting, Finance & Economics.Jul 2008
Cianci, AnnaCianci, A. , &  Falsetta, D. (2008). The impact of investors' status on their evaluation of positive and negative, past and future information. Accounting & Finance.Jan 2008
Harris, FrederickHarris, F. H. (2008). Financial analysts and price discovery. Accounting and Finance/Wiley-Blackwell.Jan 2008
Cianci, AnnaCianci, A. (2008). The impact of investor status on investors' evaluation of negative and positive, separate and combined information. The Journal of Behavioral Finance.Jan 2008
Nash, RobertD'Souza, J. ,  Megginson, W. , &  Nash, R. C. (2007). The Effects of Changes in Corporate Governance and Restructurings on Operating Performance: Evidence from Privatizations. Global Finance Journal.Jul 2007
Cotter, JamesCotter, J. , &  Thomas, R. R. (2007). Shareholder Proposals in the New Millennium: Shareholder Support, Board Response, and Market Reaction. Journal of Corporate Finance.Jun 2007
Martin, DaleJuras, P. ,  Martin, D. , &  Aldhizer, G. (2007). Adapting Six Sigma to Help Tame the SOX 404 Compliance Beast. Strategic Finance.Mar 2007
Martin, DaleMartin, D. ,  Wathen, M. M. , &  Smith, N. W. (2007). Developing an Effective Sell-Side Strategy. The Journal of Corporate Accounting & Finance.Jan 2007
Cianci, AnnaAshton, R. H. , &  Cianci, A. (2007). Motivational and cognitive determinants of buy-side and sell-side analysts' earnings forecasts: An experimental study. The Journal of Behavioral Finance.Jan 2007
Patel, AjayBryan, S. H. ,  Nash, R. C. , &  Patel, A. (2006). Can the Agency Costs of Debt and Equity Explain the Changes in Executive Compensation During the 1990s?. The Journal of Corporate Finance.Jun 2006
Duchac, JonDuchac, J. ,  Douthett, E. , &  Goldberg, S. R. (2006). SOX: Unintended dilemmas for auditing. Journal of Corporate Accounting and Finance.Apr 2006
Martin, DaleMartin, D. ,  Juras, P. , &  Aldhizer, G. (2006). Using Six Sigma to Enhance the Efficiency and Effectiveness of SOX 404 compliance. The Journal of Corporate Accounting & Finance.Mar 2006
Aldhizer, GeorgeMartin, D. R. ,  Juras, P. E. , &  Aldhizer, G. R. (2006). Taming SOX Costs with Six Sigma. Journal of Corporate Accounting and Finance/Wiley.Mar 2006
Duchac, JonDuchac, J. , &  Goldberg, S. R. (2006). Controlling Pension Costs: Why is it so difficult?. Journal of Corporate Accounting and Finance.Feb 2006
Strickland, DanaStrickland, D. (2005). Do non-U.S. firms issue stock on U.S. equity markets to relax capital constraints?. Journal of Finance and Quantitative Analysis .Dec 2005
Nash, RobertD'Souza, J. ,  Megginson, W. , &  Nash, R. C. (2005). Effect of Institutional and Firm-Specific Characteristics on Post-Privatization Performance: Evidence from Developed Countries. The Journal of Corporate Finance.Oct 2005
Nash, RobertBoehmer, E. ,  Nash, R. C. , &  Netter, J. (2005). Bank Privatization In Developing and Developed Countries: Cross-Sectional Evidence on the Impact of Economic and Political Factors. Journal of Banking and Finance.Aug 2005
Patel, AjayPatel, A. ,  Cooper, M. ,  Khorana, A. ,  Osobov, I (2005). "Managerial Actions in Response to a Market Downturn: Valuation Effects of Name Changes in the dot.com Decline." . Journal of Corporate Finance.Jan 2005
Nash, RobertMegginson, W. ,  Nash, R. C. ,  Netter, J. , &  (2004). The Choice of Private Versus Publc Capital Markets: Evidence from Privatizations. The Journal of Finance.Dec 2004
Shoesmith, GaryShoesmith, G. L. , &  Patel, A. (2004). Term Structure Linkages Surrounding the Plaza and Louvre Accords: Evidence from Euro-Rates and Long-Memory Components. Journal of Banking and Finance.Sep 2004
Bliss, RobertBliss, R. , &  Panigirtzoglou, N. (2004). Option-Implied Risk Aversion Estimates. Journal of Finance.Jan 2004
Patel, AjayPatel, A. , &  Shoesmith, G. (2004). "Term Structure Linkages Surrounding the Plaza and Louvre accords: Evidence from Euro-Rates and long-memory components.". Journal of Banking and Finance.Jan 2004
Strickland, DanaStrickland, D. (2003). Shareholder heterogeneity: Evidence from Corporate Earnings Announcements. Journal of Finance.Dec 2003
Baker, TerryBaker, T. ,  Collins, D. , &  Reitenga, A. (2003). "Stock Option Compensation and Earnings Management Incentives". Journal of Accounting, Auditing and Finance.Oct 2003
Nash, RobertNash, R. C. ,  Netter, J. , &  Poulsen, A. (2003). Determinants of Contractual Relations Between Shareholders and Bondholders. The Journal of Corporate Finance.Mar 2003
Aldhizer, GeorgeAldhizer, G. , &  Turner, L. D. (2003). "How to Pick a Consulting Firm: The Top 10 Issues You Should Consider Before Hiring One". Strategic Finance.Mar 2003
Bliss, RobertBliss, R. , &  Kaufman, G. G. (2003). Bank Procyclicality, Credit Crunches, and Asymmetric Effects of Monetary Policy: A Unified Model. Journal of Applied Finance.Jan 2003
Martin, DaleMarcum, B. ,  Cotter, J. , &  Martin, D. (2003). A Cure for Outdated Capital Budgeting Techniques. Journal of Corporate Accounting and Finance.Jan 2003
Strickland, DanaStrickland, D. (2002). Who Blinks in Volatile Markets, Individuals or Institutions? . Journal of Finance.Dec 2002
Bliss, RobertBliss, R. (2002). Credit Ratings and the BIS Reform Agenda: A Comment. Journal of Banking and Finance.Jan 2002
Bliss, RobertBliss, R. , &  Flannery, M. J. (2002). Market Discipline in the Governance of U.S. Bank Holding Companies: Monitoring vs. Influence. European Finance Review.Jan 2002
Bliss, RobertBliss, R. , &  Panigirtzoglou, N. (2002). Testing the Stability of Implied Probability Density Functions. Journal of Banking and Finance.Jan 2002
Nash, RobertNash, R. C. ,  , W. M. , &  Van Randenborgh, M. (2001). The Financial and Operating Performance of Newly Privatized Firms: An International Empirical Analysis. Privatisation and Corporate Performance, The Journal of Finance.Feb 2001
Martin, DaleMartin, D. , &  Hinson, Y. (2001). Assessing Audit Risks in eBusiness. Journal of Corporate Accounting and Finance.Jan 2001
Hinson, YvonneHinson, Y. ,  Stewart, D. B. , &  Collins, M. C. (2001). "Perquisite Consumption and Tax Exemption: An Analysis of Credit Union Expense Preference Behavior: 1993-1995". Proceedings of The Academy of Accounting and Finance.Jan 2001
Martin, DaleMartin, D. , &  Duchac, J. (2000). SFAS No. 125: Implications on the Factoring of Receivable. Journal of Corporate Accounting and Finance.Nov 2000
Hinson, YvonneHinson, Y. , &  Juras, P. E. (2000). "The Bank of Granite: Performance Measurement in a Community Bank". Journal of Finance Case Research.Apr 2000
Patel, AjayPatel, A. ,  Datta, S. , &  Iskandar-Datta, M. (2000). "Do Bank Relationships Matter in Public Debt Offerings?". Journal of Applied Corporate Finance.Jan 2000
Patel, AjayPatel, A. ,  Datta, S. , &  Iskandar-Datta, M. (2000). "Some Evidence on the Uniqueness of Initial Public Debt Offerings.". Journal of Finance.Jan 2000
Hinson, YvonneHinson, Y. ,  Martin, D. R. ,  Brennan, J. , &  (2000). "Assessing Audit Risks in Business. Journal of Corporate Accounting and Finance.Jan 2000
Hinson, YvonneHinson, Y. , &  Leggett, K. J. (1999). "Multiple Common Bond Credit Unions and the Allocation of Benefits". The Journal of Economics and Finance.Oct 1999
Baker, TerryBaker, T. (1999). "Options Reporting and the Political Costs of CEO Pay". Journal of Accounting, Auditing & Finance.Apr 1999
Patel, AjayPatel, A. ,  Datta, S. , &  Iskandar-Datta, M. (1999). "The Market's Pricing of Corporate Straight debt IPOs.". Journal of Applied Corporate Finance.Jan 1999
Resnick, BruceResnick, B. G. , &  Larsen, Jr., G. A. (1999). A Performance Comparison between Cross-Sectional Stochastic Dominance and Traditional Event Study Methodologies. Review of Quantitative Finance and Accounting.Jan 1999
Cotter, JamesCotter, J. , &  McLeod, P. (1997). Opposites may not attract, but they can complement; Integrating Finance and Organizational Behavior in the MBA curriculum. Journal of Management Education .Apr 1997
Nash, RobertNash, R. C. , &  Sinkey, J. (1997). On Competition, Risk and Hidden Assets in the Market for Bank Credit Cards. Journal of Banking and Finance.Jan 1997
Patel, AjayPatel, A. ,  Datta, S. , &  Iskandar-Datta, M. (1997). "The Pricing of Initial Public Offers of Corporate Straight Debt.". Journal of Finance.Jan 1997
Resnick, BruceResnick, B. G. , &  Larsen, Jr., G. A. (1996). Refining the Bootstrap Method of Stochastic Dominance Analysis: The Case of the January Effect. Review of Quantitative Finance and Accounting.Jul 1996
Nash, RobertNash, R. C. ,  Megginson, W. , &  Van Randenborgh, M. (1996). Does Privatization Work?. Journal of Applied Corporate Finance.Apr 1996
Patel, AjayPatel, A. , &  Akella, S. (1996). "An Examination of Real Interest Rates in the U.S., Canada, France and Germany During the Recent Floating Exchange Rate Period.". Review of Quantitative Finance and Accounting.Jan 1996
Harris, FrederickHarris, F. H. ,  Chakravarty, R. , &  McInish, T. (1995). Bids and Asks in Disequilibrium Market Microstructure: The Case of IBM. Journal of Banking and Finance.May 1995
Patel, AjayPatel, A. , &  Corrado, C. (1995). "The Information Content of a Convertible Debt Offer Announcement." . Review of Quantitative Finance and Accounting.Jan 1995
Nash, RobertNash, R. C. ,  Megginson, W. , &  Van Randenborgh, M. (1994). The Financial and Operating Performance of Newly Privatized Firms: An International Empirical Analysis. Journal of Finance.Jun 1994
Knight, LeeKnight, L. , &  Knight, R. A. (1993). Three Key Methods for Valuing Profitable Closely Held Companies. Journal of Corporate Accounting and Finance.Sep 1993
Knight, LeeKnight, L. , &  Knight, R. A. (1993). Foreign Currency Transactions: When Do You Recognize Gain or Loss?. Journal of Corporate Accounting and Finance.Jun 1993
Resnick, BruceResnick, B. G. , &  Larsen, Jr., G. A. (1993). Bootstrapping a Distance Test for Stochastic Dominance Analysis. Review of Quantitative Finance and Accounting.Mar 1993
Knight, LeeKnight, L. , &  Knight, R. A. (1992). Controlled Party Transactions: Intangible and Tangible Property Transfers - At Arm's Length. Journal of Corporate Accounting and Finance.Dec 1992
Resnick, BruceResnick, B. G. , &  Eun, C. S. (1992). Forcasting the Correlation Structure of Share Prices: A Test of New Models. Journal of Banking and Finance.Jun 1992
Resnick, BruceResnick, B. G. , &  Klemkosky, R. C. (1992). A Note on the No Premature Exercise Condition of Dividend Payout Unprotected American Call Options: A Clarification. Journal of Banking and Finance.Apr 1992
Patel, AjayPatel, A. , &  Jordan, B. (1992). "Can Uncovered Interest Parity Predict Exchange Rates?.". Journal of International Finance.Jan 1992
Knight, LeeKnight, L. ,  Knight, R. A. , &  Phebus, D. C. (1991). How to Deal with the Earnings Adjustment to the AMT. Journal of Corporate Accounting and Finance.Dec 1991
Knight, LeeKnight, L. ,  Phebus, D. C. , &  Phebus, D. C. (1991). Tax Treatment of Takeover Costs: Was the Merger Friendly or Hostile?. Journal of Corporate Accounting and Finance.Sep 1991
Bliss, RobertBliss, R. , &  Ronn, E. I. (1989). Arbitrage-Based Estimation of Non-Stationary Shifts in the Term Structure of Interest Rates. Journal of Finance.Jul 1989
Resnick, BruceResnick, B. G. , &  Eun, C. S. (1988). Exchange Rate Uncertainty, Forward Contracts, and International Portfolio Selection. Journal of Finance.Mar 1988
Resnick, BruceResnick, B. G. , &  Eun, C. S. (1987). International Diversification under Estimation Risk: Actual vs. Potential Gains. Recent Developments in International Banking and Finance. S. Khoury and A. Ghosh, editors, D. C. Health and Company.Jan 1987
Resnick, BruceResnick, B. G. , &  Alexander, G. J. (1985). More on Estimation Risk and Simple Rules for Optimal Portfolio Selection. Journal of Finance.Mar 1985
Resnick, BruceResnick, B. G. , &  Alexander, G. J. (1985). Using Linear and Goal Programming to Immunize Bond Portfolios. Journal of Banking and Finance.Mar 1985
Resnick, BruceResnick, B. G. , &  Eun, C. S. (1984). Estimating the Correlation Structure of International Share Prices. Journal of Finance.Dec 1984
Resnick, BruceResnick, B. G. , &  Klemkosky, R. C. (1979). Put-Call Parity and Market Efficiency. Journal of Finance.Dec 1979