Details about Jerry Parwada
Access statistics for papers by Jerry Parwada.
Last updated 2023-05-10. Update your information in the RePEc Author Service.
Short-id: ppa1048
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Journal Articles
2022
- Financial transaction tax and market quality: Evidence from France†
International Review of Finance, 2022, 22, (1), 90-113 View citations (1)
- The more we know, the less we agree: A test of the trading horizon heterogeneity theory
The Financial Review, 2022, 57, (1), 45-67 View citations (4)
2020
- Are entrepreneurs special? Evidence from board appointments
Journal of Business Venturing, 2020, 35, (3) View citations (6)
- When Does a Stock Boycott Work? Evidence from a Clinical Study of the Sudan Divestment Campaign
Journal of Business Ethics, 2020, 163, (3), 507-527 View citations (5)
2019
- Did connected hedge funds benefit from bank bailouts during the financial crisis?
Journal of Banking & Finance, 2019, 107, (C), - View citations (2)
2017
- Information Sharing within the Networks of Delegated Portfolio Managers: Evidence from Plan Sponsors and Their Subadvisers
Journal of Behavioral Finance, 2017, 18, (1), 99-113 View citations (1)
- Should Indirect Brokerage Fees Be Capped? Lessons from Mutual Fund Marketing and Distribution Expenses
Journal of Financial and Quantitative Analysis, 2017, 52, (2), 781-809 View citations (2)
2015
- The Governance Effect of the Media's News Dissemination Role: Evidence from Insider Trading
Journal of Accounting Research, 2015, 53, (2), 331-366 View citations (108)
2012
- Evolution of a mutual fund market: Empirical analysis of simultaneous growth and decline by fund category in Indonesia
Journal of International Financial Markets, Institutions and Money, 2012, 22, (5), 1217-1236 View citations (2)
- Location Decisions of Domestic and Foreign-Affiliated Financial Advisors: Australian Evidence
Journal of Financial Services Research, 2012, 42, (3), 207-228
- Predicting stock price movements: an ordered probit analysis on the Australian Securities Exchange
Quantitative Finance, 2012, 12, (5), 791-804 View citations (6)
2009
- Information Diffusion among International Fund Managers: Multicountry Evidence
Financial Management, 2009, 38, (4), 817-835 View citations (5)
2008
- Investors' trading behavior and performance: Online versus non-online equity trading in Korea
Pacific-Basin Finance Journal, 2008, 16, (1-2), 26-43 View citations (14)
- The Genesis of Home Bias? The Location and Portfolio Choices of Investment Company Start-Ups
Journal of Financial and Quantitative Analysis, 2008, 43, (1), 245-266 View citations (29)
2007
- Institutional investment flows and the determinants of top fund manager turnover
Accounting and Finance, 2007, 47, (2), 243-266 View citations (2)
- Relations between mutual fund flows and stock market returns in Korea
Journal of International Financial Markets, Institutions and Money, 2007, 17, (2), 140-151 View citations (32)
- The Information Content of Australian Managed Fund Ratings
Journal of Business Finance & Accounting, 2007, 34, (9‐10), 1528-1547 View citations (4)
2006
- Investors' response to mutual fund company mergers
International Journal of Managerial Finance, 2006, 2, (2), 121-135
2005
- Pension Plan Investment Management Mandates: An Empirical Analysis of Manager Selection
Journal of Financial Services Research, 2005, 27, (1), 77-98 View citations (6)
2004
- Effects of Bank Funds Management Activities on the Disintermediation of Bank Deposits
Journal of Business Finance & Accounting, 2004, 31, (7‐8), 1151-1170
2003
- Trends and determinants of Australian managed fund transaction costs
Accounting and Finance, 2003, 43, (3), 345-363 View citations (1)
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