Submissions from 2022
Pandemics and Cash, Mufaddal Baxamusa and Abu M. Jalal
The decline in stock exchange listed firms, Mufaddal Baxamusa and Abu M. Jalal
Submissions from 2020
Does policy uncertainty increase relational risks? Evidence from strategic alliances, Anand Jha, Mufaddal Baxamusa, and Sudip Datta
Submissions from 2018
It pays to partner with a firm that writes annual reports well, Mufaddal H. Baxamusa and Abu Jalal
Submissions from 2017
Industry Networks and IPO Waves, Mufaddal H. Baxamusa and Abu M. Jalal
Contagion of the Eurozone Debt Crisis, Lalith P. Samarakoon
Submissions from 2016
Why do firms purchase used assets?, Mufaddal H. Baxamusa, S. Javaid, and K. Harery
Information Asymmetry About Investment Risk and Financing Choice, Mufaddal H. Baxamusa, Sunil Mohanty, and Ramesh P. Rao
CEOs religious affiliation and managerial conservatism, Mufaddal Baxamusa and Abu M. Jalal
Submissions from 2015
Network centrality and mergers, Mufaddal Baxamusa
Internal Corporate Governance: The Role of Residual Income on Divisional Allocation of Funds, Dobrina G. Georgieva
A Comparative Study of Regional Innovative Entrepreneurship in Russia and the United States, Thadavillil Jithendranathan
Looking at New Markets for International Diversification: Frontier Markets, Thadavillil Jithendranathan and Aswini Aswini
A Study of Linkages between Frontier Markets and the U.S. Equity Markets Using Multivariate GARCH and Transfer Entropy, Thadavillil Jithendranathan and Mary S. Daugherty
The Impact of Superannuation Fund Choice Legislation and the Global Financial Crisis on Australian Retail Fund Flows, Thadavillil Jithendranathan and Rakesh Gupta
Using Performance Data to Evaluate Student Learning in a Student Managed Investment Fund, David O. Vang and Mary S. Daugherty
Submissions from 2014
Does religion affect capital structure?, Mufaddal H. Baxamusa and Abu Jalal
The effects of corruption on capital structure: when does it matter?, Mufaddal H. Baxamusa and Abu Jalal
The Effect of New Jersey Lottery Promotions on Consumer Demand and State Profits, Kathryn L. Combs, Jocelyn Elise Crowley, and John Arthur Spry
Optimizing Portfolios with Allocations to Insured Death Benefit: A Proposed Methodology for Evaluation, Robert G. Danielsen, Sergey S. Barabanov, John Schweers, and Michael F. Sullivan
The two-tier board system and underpricing of initial public offerings: Evidence from Austria, Lalith P. Samarakoon and Palani-Rajan Kadapakkam
Submissions from 2013
Underwriters and the Broken Chinese Wall: Institutional Holdings and Post-IPO Securities Litigation, Sergey Sergeevich Barabanov, Onem Ozocak, and Thomas Walker
Too many banks to fail? Theory and evidence, Mufaddal H. Baxamusa and John Boyd
Two step acquisitions and liquidity spread, Mufaddal H. Baxamusa and Dobrina Georgieva
TARP's Dividend Skippers, Dobrina G. Georgieva and Linus Wilson