Details about Øystein Gjerde
Access statistics for papers by Øystein Gjerde.
Last updated 2017-12-23. Update your information in the RePEc Author Service.
Short-id: pgj6
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Working Papers
2009
- Evidence on Competitive Advantage and Superior Stock Market Performance
Discussion Papers, Norwegian School of Economics, Department of Business and Management Science 
See also Journal Article Evidence on competitive advantage and superior stock market performance, Managerial and Decision Economics, John Wiley & Sons, Ltd. (2010) View citations (1) (2010)
2008
- The Value-Relevance of Adopting IFRS: Evidence from 145 NGAAP Restatements
Discussion Papers, Norwegian School of Economics, Department of Business and Management Science View citations (32)
2005
- The Value Relevance of Financial Reporting on the Oslo Stock Exchange over the Period 1964-2003
Discussion Papers, Norwegian School of Economics, Department of Business and Management Science View citations (2)
Journal Articles
2011
- The value relevance of financial reporting in Norway 1965-2004
Scandinavian Journal of Management, 2011, 27, (1), 113-128 View citations (3)
2010
- Evidence on competitive advantage and superior stock market performance
Managerial and Decision Economics, 2010, 31, (4), 277-301 View citations (1)
See also Working Paper Evidence on Competitive Advantage and Superior Stock Market Performance, Discussion Papers (2009) (2009)
2001
- The stock market and investment in the small and open Norwegian economy
Empirical Economics, 2001, 26, (3), 565-580 View citations (2)
1999
- Causal relations among stock returns and macroeconomic variables in a small, open economy
Journal of International Financial Markets, Institutions and Money, 1999, 9, (1), 61-74 View citations (123)
1997
- A multivariate cointegration analysis of interest rates in the Eurocurrency market
Journal of International Money and Finance, 1997, 16, (5), 767-778 View citations (14)
1995
- Linkages among European and world stock markets
The European Journal of Finance, 1995, 1, (2), 165-179 View citations (14)
- Option initiation and underlying market behavior: Evidence from Norway
Journal of Futures Markets, 1995, 15, (8), 881-899 View citations (2)
- Risk-based capital requirements and bank portfolio risk
Journal of Banking & Finance, 1995, 19, (7), 1159-1173 View citations (11)
1994
- Market efficiency in Scandinavian racetrack betting
Scandinavian Journal of Management, 1994, 10, (4), 409-420
1991
- Performance evaluation of Norwegian mutual funds
Scandinavian Journal of Management, 1991, 7, (4), 297-307 View citations (2)
1987
- Measuring hedging effectiveness in a traditional one‐periodic portfolio framework
Journal of Futures Markets, 1987, 7, (6), 663-674 View citations (1)
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