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Details about Krishna Paudyal

Workplace:School of Business, University of Strathclyde, (more information at EDIRC)
Economics Department, University of Strathclyde, (more information at EDIRC)

Access statistics for papers by Krishna Paudyal.

Last updated 2024-02-06. Update your information in the RePEc Author Service.

Short-id: ppa240


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Working Papers

2007

  1. Debt Maturity Structure and the 1997 Asian Financial Crisis
    Department of Economics Working Papers, Durham University, Department of Economics Downloads
    See also Journal Article Debt maturity structure and the 1997 Asian financial crisis, Journal of Multinational Financial Management, Elsevier (2009) Downloads View citations (19) (2009)

Journal Articles

2023

  1. Cross-country analysis of the effects of political uncertainty on stock price informativeness
    Journal of International Financial Markets, Institutions and Money, 2023, 88, (C) Downloads View citations (2)

2021

  1. Economic policy uncertainty and cross-border mergers and acquisitions
    Journal of Financial Stability, 2021, 56, (C) Downloads View citations (8)
  2. The importance of targets and value creation in vertical acquisitions
    International Review of Finance, 2021, 21, (2), 636-644 Downloads View citations (1)

2020

  1. Investors’ activism and the gains from takeover deals
    The European Journal of Finance, 2020, 26, (1), 64-83 Downloads
  2. Suboptimal international equity portfolio diversification and stock market development
    Review of Quantitative Finance and Accounting, 2020, 54, (1), 389-412 Downloads View citations (2)

2019

  1. Exploring the benefits of international government bond portfolio diversification strategies
    The European Journal of Finance, 2019, 25, (1), 1-15 Downloads View citations (3)
  2. Financial markets, innovation and regulation
    The European Journal of Finance, 2019, 25, (7), 595-598 Downloads View citations (1)

2018

  1. Earnout deals: Method of initial payment and acquirers’ gains
    European Financial Management, 2018, 24, (5), 792-828 Downloads View citations (6)

2017

  1. Biases in international portfolio allocation and investor protection standards
    International Review of Financial Analysis, 2017, 53, (C), 66-79 Downloads View citations (5)
  2. Do investors flip less in bookbuilding than in auction IPOs?
    Journal of Corporate Finance, 2017, 47, (C), 253-268 Downloads View citations (7)

2016

  1. Domestic and foreign institutional investors' investment in IPOs
    Pacific-Basin Finance Journal, 2016, 39, (C), 197-210 Downloads View citations (6)

2015

  1. A trade-off in corporate diversification
    Journal of Empirical Finance, 2015, 34, (C), 275-292 Downloads
  2. Modelling generator maintenance scheduling costs in deregulated power markets
    European Journal of Operational Research, 2015, 240, (2), 551-561 Downloads View citations (10)
  3. The determinants of foreign trading volume of stocks listed in multiple markets
    Journal of Economics and Business, 2015, 79, (C), 38-61 Downloads View citations (5)

2014

  1. Firm quality or market sentiment: What matters more for IPO investors?
    Journal of Banking & Finance, 2014, 44, (C), 207-218 Downloads View citations (12)

2013

  1. Access to information and international portfolio allocation
    Journal of Banking & Finance, 2013, 37, (7), 2255-2267 Downloads View citations (4)

2010

  1. Equity Home†Bias: A Suboptimal Choice for UK investors?
    European Financial Management, 2010, 16, (3), 449-479 Downloads View citations (8)

2009

  1. Debt maturity structure and the 1997 Asian financial crisis
    Journal of Multinational Financial Management, 2009, 19, (1), 26-42 Downloads View citations (19)
    See also Working Paper Debt Maturity Structure and the 1997 Asian Financial Crisis, Department of Economics Working Papers (2007) Downloads (2007)
  2. Limited Information and the Sustainability of Unlisted‐Target Acquirers' Returns
    Journal of Business Finance & Accounting, 2009, 36, (9‐10), 1201-1227 Downloads View citations (2)
  3. The Euro and the Changing Face of European Banking: Evidence from Mergers and Acquisitions
    European Financial Management, 2009, 15, (2), 451-476 Downloads View citations (17)

2008

  1. Information Asymmetry and Bidders' Gains
    Journal of Business Finance & Accounting, 2008, 35, (3‐4), 376-405 Downloads View citations (18)
  2. Introduction
    European Financial Management, 2008, 14, (1), 11-11 Downloads
  3. The Determinants of Capital Structure: Capital Market-Oriented versus Bank-Oriented Institutions
    Journal of Financial and Quantitative Analysis, 2008, 43, (1), 59-92 Downloads View citations (289)
  4. The Impact of Universal Stock Futures on Feedback Trading and Volatility Dynamics
    Journal of Business Finance & Accounting, 2008, 35, (1‐2), 227-249 Downloads View citations (16)

2007

  1. Profitability of momentum strategies in international markets: The role of business cycle variables and behavioural biases
    Journal of Banking & Finance, 2007, 31, (3), 955-972 Downloads View citations (44)

2006

  1. ARE COMMON STOCKS A HEDGE AGAINST INFLATION?
    Journal of Financial Research, 2006, 29, (1), 1-19 Downloads View citations (32)
  2. Acquisitions: Private versus Public
    European Financial Management, 2006, 12, (1), 57-80 Downloads View citations (64)
  3. The Determinants of Debt Maturity Structure: Evidence from France, Germany and the UK
    European Financial Management, 2006, 12, (2), 161-194 Downloads View citations (67)

2004

  1. The determinants of capital structure: evidence from the Asia Pacific region
    Journal of Multinational Financial Management, 2004, 14, (4-5), 387-405 Downloads View citations (140)

2002

  1. Explaining Monday Returns
    Journal of Financial Research, 2002, 25, (4), 507-520 Downloads View citations (14)

2001

  1. A Comparative Analysis of Earnings Forecasts in Europe
    Journal of Business Finance & Accounting, 2001, 28, (5‐6), 531-562 Downloads View citations (34)

2000

  1. The components of bid-ask spreads on the London Stock Exchange
    Journal of Banking & Finance, 2000, 24, (11), 1767-1785 Downloads View citations (20)

1999

  1. Corporate Takeovers: Mode of Payment, Returns and Trading Activity
    Journal of Business Finance & Accounting, 1999, 26, (5‐6), 521-558 Downloads View citations (28)
  2. Non‐linear Dependence in Stock Returns: Does Trading Frequency Matter?
    Journal of Business Finance & Accounting, 1999, 26, (5‐6), 651-679 Downloads View citations (8)
  3. The relative forecast accuracy of UK brokers
    Accounting and Business Research, 1999, 30, (1), 3-16 Downloads View citations (10)

1998

  1. Common stochastic trends between forward and spot exchange rates
    Journal of International Money and Finance, 1998, 17, (2), 279-297 Downloads View citations (29)
  2. Privatisation initial public offerings in Malaysia: Initial premium and long-term performance
    Pacific-Basin Finance Journal, 1998, 6, (5), 427-451 Downloads View citations (51)

1997

  1. Microstructure and Seasonality in the UK Equity Market
    Journal of Business Finance & Accounting, 1997, 24, (7‐8), 1177-1204 Downloads View citations (8)
  2. Stock returns and volatility in two regime markets: International evidence
    International Review of Financial Analysis, 1997, 6, (3), 209-228 Downloads View citations (1)

1996

  1. THE DETERMINANTS AND DYNAMICS OF BID-ASK SPREADS ON THE LONDON STOCK EXCHANGE
    Journal of Financial Research, 1996, 19, (3), 377-394 Downloads View citations (8)

1995

  1. Subscriber return, underpricing, and long-term performance of U.K. privatization initial public offers
    Journal of Economics and Business, 1995, 47, (5), 473-495 Downloads View citations (11)

1994

  1. THRESHOLD AUTOREGRESSIVE MODELING IN FINANCE: THE PRICE DIFFERENCES OF EQUIVALENT ASSETS1
    Mathematical Finance, 1994, 4, (2), 205-221 Downloads View citations (34)

Chapters

2023

  1. Event Study Methods in Corporate Governance Studies
    Chapter 10 in Governance and Financial Performance Current Trends and Perspectives, 2023, pp 229-273 Downloads
 
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