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Details about Emanuele Bajo

Homepage:https://emanuelebajo.cv/
Postal address:Via Capo di lucca, 34 40100 Bologna Italy
Workplace:Dipartimento di Scienze Aziendali (Department of Management), Alma Mater Studiorum - Università di Bologna (University of Bologna), (more information at EDIRC)

Access statistics for papers by Emanuele Bajo.

Last updated 2026-04-13. Update your information in the RePEc Author Service.

Short-id: pba688


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Journal Articles

2024

  1. Gender balance in academia: Evidence from finance departments
    International Review of Financial Analysis, 2024, 96, (PA) Downloads

2023

  1. Psychological profile and investment decisions
    Finance Research Letters, 2023, 58, (PA) Downloads View citations (1)

2020

  1. Bolstering family control: Evidence from loyalty shares
    Journal of Corporate Finance, 2020, 65, (C) Downloads View citations (5)
  2. Institutional investor networks and firm value
    Journal of Business Research, 2020, 112, (C), 65-80 Downloads View citations (31)
  3. Ownership ties, conflict of interest, and the tone of news
    European Financial Management, 2020, 26, (3), 560-578 Downloads
  4. Where should I publish to get promoted? A finance journal ranking based on business school promotions
    Journal of Banking & Finance, 2020, 114, (C) Downloads View citations (14)

2019

  1. Individual Differences in the Disposition Effect
    Journal of Behavioral Finance, 2019, 20, (1), 107-126 Downloads View citations (2)

2018

  1. Financial illiteracy and mortgage refinancing decisions
    Journal of Banking & Finance, 2018, 94, (C), 279-296 Downloads View citations (27)

2017

  1. Do firms get what they pay for? A second thought on over-allotment option in IPOs
    The Quarterly Review of Economics and Finance, 2017, 63, (C), 219-232 Downloads View citations (1)
  2. Media sentiment and IPO underpricing
    Journal of Corporate Finance, 2017, 46, (C), 139-153 Downloads View citations (70)

2016

  1. Underwriter networks, investor attention, and initial public offerings
    Journal of Financial Economics, 2016, 122, (2), 376-408 Downloads View citations (85)

2015

  1. A generalized approach to optimal hedging with option contracts
    The European Journal of Finance, 2015, 21, (9), 714-733 Downloads View citations (2)
  2. Financial Literacy, Households' Investment Behavior, and Risk Propensity
    Journal of Financial Management, Markets and Institutions, 2015, (1), 157-174 Downloads View citations (4)

2014

  1. Editor's Notes
    Journal of Financial Management, Markets and Institutions, 2014, (1), 3-4 Downloads
  2. Optimal corporate hedging using options with basis and production risk
    The North American Journal of Economics and Finance, 2014, 30, (C), 56-71 Downloads View citations (1)

2013

  1. Interest rate risk estimation: a new duration-based approach
    Applied Economics, 2013, 45, (19), 2697-2704 Downloads View citations (2)
  2. The role of institutional investors in public-to-private transactions
    Journal of Banking & Finance, 2013, 37, (11), 4327-4336 Downloads View citations (10)

2012

  1. The role of time value in convertible bond call policy
    Journal of Banking & Finance, 2012, 36, (2), 550-563 Downloads View citations (2)

2010

  1. The Information Content of Abnormal Trading Volume
    Journal of Business Finance & Accounting, 2010, 37, (7‐8), 950-978 Downloads View citations (17)
  2. The risk-shifting effect and the value of a warrant
    Quantitative Finance, 2010, 10, (10), 1203-1213 Downloads View citations (7)

2009

  1. The Determinants of Regulatory Compliance: An Analysis of Insider Trading Disclosures in Italy
    Journal of Business Ethics, 2009, 90, (3), 331-343 Downloads View citations (13)

2006

  1. Do what insiders do
    Studies in Economics and Finance, 2006, 23, (2), 94-118 Downloads

2004

  1. Il contenuto informativo dei volumi anomali
    Banca Impresa Società, 2004, (1), 177 Downloads
  2. Variazioni della quota azionaria da parte degli insider: quale segnale per il mercato?
    Banca Impresa Società, 2004, (2), 309-338 Downloads

1998

  1. The Stock Market Reaction to Investment Decisions: Evidence from Italy
    Journal of Management & Governance, 1998, 2, (1), 1-16 Downloads View citations (4)

Chapters

2025

  1. Risk Management
    Springer

2013

  1. Enel, Ten Years of Extraordinary Financial Performance
    Palgrave Macmillan

Editor

  1. Journal of Economics and Business
    Elsevier
 
Page updated 2026-05-03