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Details about Nathan Mauck

E-mail:
Homepage:http://bloch.umkc.edu/faculty-staff/faculty-directory/profiles/mauck-nathan.aspx
Workplace:Bloch School of Business, University of Missouri-Kansas City, (more information at EDIRC)

Access statistics for papers by Nathan Mauck.

Last updated 2020-06-10. Update your information in the RePEc Author Service.

Short-id: pma1688


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Working Papers

2016

  1. Governance and international investment: Evidence from real estate holdings
    ERES, European Real Estate Society (ERES) Downloads

2014

  1. Comparing U.S. and European Market Volatility Responses to Interest Rate Policy Announcements
    MPRA Paper, University Library of Munich, Germany Downloads
    See also Journal Article in International Review of Financial Analysis (2015)
  2. Information Asymmetry and the Market Response to Open Market Share Repurchases
    MPRA Paper, University Library of Munich, Germany Downloads
  3. Investment Opportunity Sets of Real Assets: An International Empirical Study Based on Ownership Types
    MPRA Paper, University Library of Munich, Germany Downloads

2012

  1. Do Senior Citizens Prefer Dividends? Local Clienteles vs. Firm Characteristics
    MPRA Paper, University Library of Munich, Germany Downloads
    See also Journal Article in Journal of Corporate Finance (2013)
  2. Predicting Extreme Returns and Portfolio Management Implications
    MPRA Paper, University Library of Munich, Germany Downloads
    See also Journal Article in Journal of Financial Research (2013)
  3. The dynamic relation between short sellers, option traders, and aggregate returns
    MPRA Paper, University Library of Munich, Germany Downloads View citations (1)

Journal Articles

2018

  1. Government-affiliation, bilateral political relations and cross-border mergers: Evidence from China
    Pacific-Basin Finance Journal, 2018, 51, (C), 220-250 Downloads View citations (2)
  2. Informed Repurchases, Information Asymmetry and the Market Response to Open Market Share Repurchases
    Review of Pacific Basin Financial Markets and Policies (RPBFMP), 2018, 21, (03), 1-32 Downloads

2017

  1. Cross-border opportunity sets: An international empirical study based on ownership types
    Global Finance Journal, 2017, 33, (C), 1-26 Downloads View citations (3)
  2. Determinants of Foreign Versus Domestic Real Estate Investment: Property Level Evidence from Listed Real Estate Investment Firms
    The Journal of Real Estate Finance and Economics, 2017, 54, (1), 17-57 Downloads View citations (5)

2016

  1. Dividend initiations, increases and idiosyncratic volatility
    Journal of Corporate Finance, 2016, 40, (C), 47-60 Downloads View citations (2)
  2. Idiosyncratic Volatility and Firm-Specific News: Beyond Limited Arbitrage
    Financial Management, 2016, 45, (4), 923-951 Downloads View citations (1)
  3. The dynamic relation between options trading, short selling, and aggregate stock returns
    Review of Quantitative Finance and Accounting, 2016, 47, (3), 645-671 Downloads View citations (2)
  4. The valuation of patents using third-party data: the Ocean Tomo 300 Patent Index
    Applied Economics, 2016, 48, (42), 3995-3998 Downloads

2015

  1. Comparing U.S. and European market volatility responses to interest rate policy announcements
    International Review of Financial Analysis, 2015, 39, (C), 127-136 Downloads View citations (4)
    See also Working Paper (2014)

2013

  1. Determinants of sovereign wealth fund investment in private equity vs public equity
    Journal of International Business Studies, 2013, 44, (2), 155-172 Downloads View citations (25)
  2. Do senior citizens prefer dividends? Local clienteles vs. firm characteristics
    Journal of Corporate Finance, 2013, 23, (C), 150-165 Downloads View citations (1)
    See also Working Paper (2012)
  3. PREDICTING EXTREME RETURNS AND PORTFOLIO MANAGEMENT IMPLICATIONS
    Journal of Financial Research, 2013, 36, (4), 471-492 Downloads View citations (2)
    See also Working Paper (2012)

2012

  1. Bilateral political relations and sovereign wealth fund investment
    Journal of Corporate Finance, 2012, 18, (1), 108-123 Downloads View citations (36)
  2. Sovereign wealth fund investment and the return-to-risk performance of target firms
    Journal of Financial Intermediation, 2012, 21, (2), 315-340 Downloads View citations (24)
  3. VIX changes and derivative returns on FOMC meeting days
    Financial Markets and Portfolio Management, 2012, 26, (3), 315-331 Downloads View citations (5)

2011

  1. Fire sale acquisitions: Myth vs. reality
    Journal of Banking & Finance, 2011, 35, (3), 532-543 Downloads View citations (17)
 
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