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Details about John Doukas

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Homepage:http://www.efmaefm.org/doukas.shtml
Workplace:Department of Economics, Strome College of Business, Old Dominion University, (more information at EDIRC)

Access statistics for papers by John Doukas.

Last updated 2013-03-07. Update your information in the RePEc Author Service.

Short-id: pdo343


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Working Papers

2010

  1. Family Control and Financing Decisions
    Koç University-TUSIAD Economic Research Forum Working Papers, Koc University-TUSIAD Economic Research Forum Downloads View citations (3)

2002

  1. Security Analysis, Agency Costs, and UK Firm Characteristics
    Royal Economic Society Annual Conference 2002, Royal Economic Society Downloads View citations (3)
    See also Journal Article Security analysis, agency costs, and UK firm characteristics, International Review of Financial Analysis, Elsevier (2005) Downloads View citations (18) (2005)

Journal Articles

2013

  1. Information asymmetry, price discovery, and the Chinese B-share discount puzzle
    Pacific-Basin Finance Journal, 2013, 21, (1), 1116-1135 Downloads View citations (17)

2010

  1. Arbitrage Risk and Stock Mispricing
    Journal of Financial and Quantitative Analysis, 2010, 45, (4), 907-934 Downloads View citations (33)

2009

  1. Daily short interest, idiosyncratic risk, and stock returns
    Journal of Financial Markets, 2009, 12, (2), 290-316 Downloads View citations (30)

2008

  1. Do Analysts Influence Corporate Financing and Investment?
    Financial Management, 2008, 37, (2), 303-339 Downloads View citations (21)
  2. Investment decisions and internal capital markets: Evidence from acquisitions
    Journal of Banking & Finance, 2008, 32, (8), 1484-1498 Downloads View citations (11)

2007

  1. Acquisitions, Overconfident Managers and Self‐attribution Bias
    European Financial Management, 2007, 13, (3), 531-577 Downloads View citations (93)

2006

  1. Divergence of Opinion and Equity Returns
    Journal of Financial and Quantitative Analysis, 2006, 41, (3), 573-606 Downloads View citations (62)
  2. Divergence of opinion and equity returns under different states of earnings expectations
    Journal of Financial Markets, 2006, 9, (3), 310-331 Downloads View citations (5)
  3. Does global diversification destroy firm value?
    Journal of International Business Studies, 2006, 37, (3), 352-371 Downloads View citations (47)

2005

  1. European Momentum Strategies, Information Diffusion, and Investor Conservatism
    European Financial Management, 2005, 11, (3), 313-338 Downloads View citations (31)
  2. Long‐term Performance of New Equity Issuers, Venture Capital and Reputation of Investment Bankers
    Economic Notes, 2005, 34, (1), 1-34 Downloads View citations (13)
  3. Security analysis, agency costs, and UK firm characteristics
    International Review of Financial Analysis, 2005, 14, (5), 493-507 Downloads View citations (18)
    See also Working Paper Security Analysis, Agency Costs, and UK Firm Characteristics, Royal Economic Society Annual Conference 2002 (2002) Downloads View citations (3) (2002)
  4. The Two Faces of Analyst Coverage
    Financial Management, 2005, 34, (2) View citations (31)

2004

  1. Excess Cash Flows and Diversification Discount
    Financial Management, 2004, 33, (2) View citations (17)
  2. Investor Sentiment and the Closed‐end Fund Puzzle: Out‐of‐sample Evidence
    European Financial Management, 2004, 10, (2), 235-266 Downloads View citations (21)

2003

  1. Foreign direct investment, diversification and firm performance
    Journal of International Business Studies, 2003, 34, (2), 153-172 Downloads View citations (75)
  2. Geographic diversification and agency costs of debt of multinational firms
    Journal of Corporate Finance, 2003, 9, (1), 59-92 Downloads View citations (90)

2002

  1. Diversification, Ownership and Control of Swedish Corporations
    European Financial Management, 2002, 8, (3), 281-314 Downloads View citations (20)

1999

  1. The pricing of currency risk in Japan
    Journal of Banking & Finance, 1999, 23, (1), 1-20 Downloads View citations (57)

1997

  1. Common volatility in the industrial structure of global capital markets
    Journal of International Money and Finance, 1997, 16, (2), 189-209 Downloads View citations (31)

1996

  1. EXPLAINING PREMIUMS AND DISCOUNTS ON CLOSED‐END EQUALITY COUNTRY FUNDS
    Journal of Applied Corporate Finance, 1996, 9, (3), 109-118 Downloads View citations (2)
  2. Managing Editor's Statement
    European Financial Management, 1996, 2, (1), 1-1 Downloads
    Also in European Financial Management, 1995, 1, (1), 1-2 (1995) Downloads

1995

  1. Overinvestment, Tobin's q and gains from foreign acquisitions
    Journal of Banking & Finance, 1995, 19, (7), 1285-1303 Downloads View citations (53)
  2. Pre and post-October 1987 stock market linkages between U.S. and Asian markets
    Pacific-Basin Finance Journal, 1995, 3, (1), 57-73 Downloads View citations (56)
  3. The intertemporal volatility structure of Euro CD rates
    European Financial Management, 1995, 1, (3), 317-329 Downloads

1994

  1. Common stochastic trends in a system of Eurocurrency rates
    Journal of Banking & Finance, 1994, 18, (6), 1047-1061 Downloads View citations (20)

1993

  1. International stock market linkages: Evidence from the pre- and post-October 1987 period
    Journal of Banking & Finance, 1993, 17, (1), 193-208 Downloads View citations (229)

1992

  1. The stock market's valuation of R&D spending and market concentration
    Journal of Economics and Business, 1992, 44, (2), 95-114 Downloads View citations (42)

1989

  1. Contagion effect on sovereign interest rate spreads
    Economics Letters, 1989, 29, (3), 237-241 Downloads View citations (13)
  2. Syndicated Euro-Credit Sovereign Risk Assessments, Market Efficiency and Contagion Effects
    Journal of International Business Studies, 1989, 20, (2), 255-267 Downloads View citations (2)

1987

  1. Unit Roots Tests: Evidence from the Foreign Exchange Futures Market
    Journal of Financial and Quantitative Analysis, 1987, 22, (1), 101-108 Downloads View citations (10)

1986

  1. The reaction of spot and forward rates to new information
    European Economic Review, 1986, 30, (2), 305-324 Downloads View citations (3)

1985

  1. Overshooting in the foreign exchange market: Evidence from the 1970s
    Economics Letters, 1985, 19, (3), 267-270 Downloads
  2. The Rationality of Money Supply Expectations and the Canadian-U.S. Exchange Rate Response to Money Supply Announcements
    The Financial Review, 1985, 20, (2), 180-94 View citations (3)

1967

  1. A MODEL OF COMMERCIAL BANKING SYSTEM BEHAVIOR: AN ECONOMETRIC PREDICTIVE TEST
    Journal of Finance, 1967, 22, (3), 480-481 Downloads

Editor

  1. European Financial Management
    European Financial Management Association
 
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