Details about Glenn Boyle
Access statistics for papers by Glenn Boyle.
Last updated 2013-03-14. Update your information in the RePEc Author Service.
Short-id: pbo172
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Working Papers
2011
- New Zealand Corporate Boards in Transition: Composition, Activity and Incentives Between 1995 and 2010
Working Papers in Economics, University of Canterbury, Department of Economics and Finance
2010
- Wolves in the Hen-House? The Consequences of Formal CEO Involvement in the Executive Pay-Setting Process
Working Papers in Economics, University of Canterbury, Department of Economics and Finance View citations (1)
2009
- Forest and Forest Land Valuation: How to Value Forest and Forest Land to Include Carbon Costs and Benefits
2009 Conference, August 27-28, 2009, Nelson, New Zealand, New Zealand Agricultural and Resource Economics Society View citations (2)
Also in 2009 Conference (53rd), February 11-13, 2009, Cairns, Australia, Australian Agricultural and Resource Economics Society (2009)
2003
- Deposit Insurance and the Risk Premium in Bank Deposit Rates
Finance Working Papers, University of Aarhus, Aarhus School of Business, Department of Business Studies View citations (1)
See also Journal Article in Journal of Banking & Finance (2003)
Journal Articles
2010
- Holding onto Your Horses: Conflicts of Interest in Asset Management
Journal of Law and Economics, 2010, 53, (4), 689 - 713
2009
- Estimating unobservable valuation parameters for illiquid assets
Accounting and Finance, 2009, 49, (3), 465-479
2008
- Do Financial Incentives Affect The Quality of Expert Performance? Evidence from the Racetrack
Journal of Gambling Business and Economics, 2008, 2, (2), 43-59
- Intra-country regulation of share markets: does one size fit all?
European Journal of Law and Economics, 2008, 25, (2), 151-165
- Pay Peanuts and Get Monkeys? Evidence from Academia
The B.E. Journal of Economic Analysis & Policy, 2008, 8, (1), 21 View citations (3)
2006
- Hedging the value of waiting
Journal of Banking & Finance, 2006, 30, (4), 1245-1267
- Payback without apology
Accounting and Finance, 2006, 46, (1), 1-10
2005
- Human Capital and Popular Investment Advice
Review of Finance, 2005, 9, (2), 139-164 View citations (3)
- Risk, expected return, and the cost of equity capital
New Zealand Economic Papers, 2005, 39, (2), 181-194 View citations (1)
2004
- Deposit insurance and the stock market: evidence from Denmark
European Journal of Finance, 2004, 10, (6), 567-578
- Emotion, fear and superstition in the New Zealand stockmarket
New Zealand Economic Papers, 2004, 38, (1), 65-85
2003
- Cash Flow Immediacy and the Value of Investment Timing
Journal of Financial Research, 2003, 26, (4), 553-570
- Deposit insurance and the risk premium in bank deposit rates
Journal of Banking & Finance, 2003, 27, (4), 699-717 
See also Working Paper (2003)
- Investment, Uncertainty, and Liquidity
Journal of Finance, 2003, 58, (5), 2143-2166 View citations (35)
- Reflected glory and failure: international sporting success and the stock market
Applied Financial Economics, 2003, 13, (3), 225-235 View citations (1)
2002
- Public disclosure of executive compensation: Do shareholders need to know?
Pacific-Basin Finance Journal, 2002, 10, (1), 97-117 View citations (6)
1999
- Monetary rules and stock market value
Journal of Economics and Business, 1999, 51, (4), 365-372
1998
- Extraordinary Antitakeover Provisions and Insider Ownership Structure: The Case of Converting Savings and Loans
Journal of Financial and Quantitative Analysis, 1998, 33, (02), 291-304 View citations (1)
1997
- Capital structure choice and financial market liberalization: evidence from New Zealand
Applied Financial Economics, 1997, 7, (4), 427-437 View citations (2)
1996
- Corporate Investment and Dividend Tax Imputation
The Financial Review, 1996, 31, (1), 209-26 View citations (2)
1995
- Monetary Policy, Aggregate Uncertainty, and the Stock Market
Journal of Money, Credit and Banking, 1995, 27, (2), 570-82 View citations (5)
1994
- Market equilibrium and the CAPM in a mean-generalized coefficient of variation economy
International Review of Economics & Finance, 1994, 3, (3), 249-256
1992
- Price discrimination in shopping center leases
Journal of Urban Economics, 1992, 32, (3), 299-317 View citations (10)
- Risk aversion and stock market volatility
Journal of Macroeconomics, 1992, 14, (4), 593-606
- Stock returns, inflation, and interest rates: Ex post and ex ante relationships
International Review of Financial Analysis, 1992, 1, (1), 65-76
1990
- Commodity price uncertainty and optimal asset choice
Journal of Economics and Business, 1990, 42, (2), 133-140
- International Interest Rates, Exchange Rates, and the Stochastic Structure of Supply
Journal of Finance, 1990, 45, (2), 655-71 View citations (3)
- Money Demand and the Stock Market in a General Equilibrium Model with Variable Velocity
Journal of Political Economy, 1990, 98, (5), 1039-53 View citations (7)
- Retail Leasing: The Determinants of Shopping Center Rents
Real Estate Economics, 1990, 18, (3), 302-312 View citations (18)
1989
- Forward and futures prices in a general equilibrium monetary model
Journal of Financial Economics, 1989, 24, (2), 319-341 View citations (1)
1988
- Asset Prices, Commodity Prices, and Money: A General Equilibrium, Rational Expectations Model
American Economic Review, 1988, 78, (1), 24-45 View citations (4)
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