Details about Jan Bartholdy
This author is deceased (2021-01-23). Access statistics for papers by Jan Bartholdy.
Last updated 2023-03-10. Update your information in the RePEc Author Service.
Short-id: pba149
Jump to Journal Articles
Working Papers
2006
- Conducting event studies on a small stock exchange
Finance Research Group Working Papers, University of Aarhus, Aarhus School of Business, Department of Business Studies View citations (2)
See also Journal Article Conducting Event Studies on a Small Stock Exchange, The European Journal of Finance, Taylor & Francis Journals (2007) View citations (48) (2007)
- Debt and Taxes: Evidence from bank-financed unlisted firms
Finance Research Group Working Papers, University of Aarhus, Aarhus School of Business, Department of Business Studies View citations (11)
2004
- Deposit Insurance and the Stock Market: Evidence from Denmark
Working Paper Series, Victoria University of Wellington, The New Zealand Institute for the Study of Competition and Regulation 
See also Journal Article Deposit insurance and the stock market: evidence from Denmark, The European Journal of Finance, Taylor & Francis Journals (2004) View citations (2) (2004)
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 (19)
See also Journal Article Deposit insurance and the risk premium in bank deposit rates, Journal of Banking & Finance, Elsevier (2003) View citations (18) (2003)
2002
- Testing for Multiple Types of Marginal Investor in Ex-day Pricing
Finance Working Papers, University of Aarhus, Aarhus School of Business, Department of Business Studies View citations (6)
See also Journal Article Testing for Multiple Types of Marginal Investor in Ex-Day Pricing, Multinational Finance Journal, Multinational Finance Journal (2004) View citations (8) (2004)
- Unbiased Estimation of Expected Return Using CAPM
Finance Working Papers, University of Aarhus, Aarhus School of Business, Department of Business Studies
See also Journal Article Unbiased estimation of expected return using CAPM, International Review of Financial Analysis, Elsevier (2003) View citations (14) (2003)
1989
- An Empirical Study of the Impact of Corporate Taxation on the Debt Policy of Canadian Firms
Working Paper, Economics Department, Queen's University View citations (6)
1986
- Taxation and the Firm's Leverage Decision: A Survey of Theoretical Issues
Working Paper, Economics Department, Queen's University View citations (1)
Journal Articles
2021
- Can strong capital regulation prevent risk-taking from deposit insurance?
The European Journal of Finance, 2021, 27, (12), 1164-1185
2020
- A re‐examination of accruals quality following restatements
Journal of Business Finance & Accounting, 2020, 47, (7-8), 882-909 View citations (1)
2017
- Why are firms listed in one country and private in other countries? The role of industry structure, banking sector and legal system
Journal of Corporate Finance, 2017, 43, (C), 480-499
2015
- Do Portuguese private firms follow pecking order financing?
The European Journal of Finance, 2015, 21, (10-11), 848-866 View citations (3)
2013
- The quality of securities firms' earnings forecasts and stock recommendations: Do informational advantages, reputation and experience matter in China?
Pacific-Basin Finance Journal, 2013, 24, (C), 66-88 View citations (6)
2012
- Do Small and Medium Sized Enterprises Match Their Assets and Liabilities? Evidence from Portugal
The International Journal of Business and Finance Research, 2012, 6, (4), 13-31 View citations (3)
2011
- Debt and taxes for private firms
International Review of Financial Analysis, 2011, 20, (3), 177-189 View citations (10)
2007
- Conducting Event Studies on a Small Stock Exchange
The European Journal of Finance, 2007, 13, (3), 227-252 View citations (48)
See also Working Paper Conducting event studies on a small stock exchange, Finance Research Group Working Papers (2006) View citations (2) (2006)
2005
- Estimation of expected return: CAPM vs. Fama and French
International Review of Financial Analysis, 2005, 14, (4), 407-427 View citations (32)
2004
- Deposit insurance and the stock market: evidence from Denmark
The European Journal of Finance, 2004, 10, (6), 567-578 View citations (2)
See also Working Paper Deposit Insurance and the Stock Market: Evidence from Denmark, Working Paper Series (2004) (2004)
- Testing for Multiple Types of Marginal Investor in Ex-Day Pricing
Multinational Finance Journal, 2004, 8, (3-4), 173-209 View citations (8)
See also Working Paper Testing for Multiple Types of Marginal Investor in Ex-day Pricing, Finance Working Papers (2002) View citations (6) (2002)
2003
- Deposit insurance and the risk premium in bank deposit rates
Journal of Banking & Finance, 2003, 27, (4), 699-717 View citations (18)
See also Working Paper Deposit Insurance and the Risk Premium in Bank Deposit Rates, Finance Working Papers (2003) View citations (19) (2003)
- Unbiased estimation of expected return using CAPM
International Review of Financial Analysis, 2003, 12, (1), 69-81 View citations (14)
See also Working Paper Unbiased Estimation of Expected Return Using CAPM, Finance Working Papers (2002) (2002)
1998
- Changes in earnings-price ratios and excess returns: A case of investor over-reaction
International Review of Financial Analysis, 1998, 7, (3), 237-252 View citations (1)
1997
- Corporate Capital Structure and Regulation of Bank Equity Holdings: Some International Evidence
Multinational Finance Journal, 1997, 1, (1), 63-80 View citations (3)
1994
- THIN TRADING AND THE ESTIMATION OF BETAS: THE EFFICACY OF ALTERNATIVE TECHNIQUES
Journal of Financial Research, 1994, 17, (2), 241-254 View citations (15)
|
The links between different versions of a paper are constructed automatically by matching on the titles.
Please contact if a link is incorrect.
Use this form
to add links between versions where the titles do not match.
|