Details about Samir Saadi
Access statistics for papers by Samir Saadi.
Last updated 2023-03-11. Update your information in the RePEc Author Service.
Short-id: psa516
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Working Papers
2019
- On the Bitcoin price dynamics: an augmented Markov-Switching model with Lévy jumps
Working Papers, HAL
- Study of the dynamic of Bitcoin's price
Working Papers, HAL View citations (1)
Journal Articles
2021
- Annual report readability and the cost of equity capital
Journal of Corporate Finance, 2021, 67, (C) View citations (37)
- Does corporate social responsibility influence corporate innovation? International evidence
Emerging Markets Review, 2021, 46, (C) View citations (35)
- Does empathy matter in corporate social responsibility? Evidence from emerging markets
Emerging Markets Review, 2021, 46, (C) View citations (5)
- Does national culture affect corporate innovation? International evidence
Journal of Corporate Finance, 2021, 66, (C) View citations (30)
- Information dissemination and price discovery
Finance Research Letters, 2021, 38, (C) View citations (1)
2019
- Competitive earnings news and post-earnings announcement drift
International Review of Financial Analysis, 2019, 63, (C), 331-343 View citations (9)
- Does geographic location matter to stock return predictability?
Journal of Forecasting, 2019, 38, (4), 311-326 View citations (1)
- Does institutional investor horizon influence US corporate financing decisions?
International Review of Financial Analysis, 2019, 63, (C), 382-394 View citations (13)
- EXTERNAL GOVERNANCE AND THE COST OF EQUITY FINANCING
Journal of Financial Research, 2019, 42, (4), 817-865 View citations (11)
- Portfolio diversification with virtual currency: Evidence from bitcoin
International Review of Financial Analysis, 2019, 63, (C), 431-437 View citations (252)
2018
- CORPORATE GOVERNANCE AND DIVIDEND PAYOUT POLICY: BEYOND COUNTRY‐LEVEL GOVERNANCE
Journal of Financial Research, 2018, 41, (4), 445-484 View citations (10)
- How does national culture influence IPO underpricing?
Pacific-Basin Finance Journal, 2018, 51, (C), 318-341 View citations (19)
2015
- Housing price growth and the cost of equity capital
Journal of Banking & Finance, 2015, 61, (C), 283-300 View citations (7)
- Institutional shareholding and information content of dividend surprises: Re-examining the dynamics in dividend-reappearance era
Journal of Corporate Finance, 2015, 31, (C), 152-170 View citations (17)
2014
- Family firms and high technology Mergers & Acquisitions
Journal of Management & Governance, 2014, 18, (1), 129-158 View citations (15)
2013
- Canadian corporate payout policy
International Journal of Managerial Finance, 2013, 9, (3), 164-184 View citations (3)
- Does payment method matter in cross-border acquisitions?
International Review of Economics & Finance, 2013, 25, (C), 91-107 View citations (35)
2012
- Are Good Performers Bad Acquirers?
Financial Management, 2012, 41, (1), 95-118 View citations (14)
- Does Religion Matter to Equity Pricing?
Journal of Business Ethics, 2012, 111, (4), 491-518 View citations (87)
- Parametric Value-at-Risk analysis: Evidence from stock indices
The Quarterly Review of Economics and Finance, 2012, 52, (3), 305-321 View citations (21)
- Why Firms Do Not Pay Dividends: The Canadian Experience
Journal of Business Finance & Accounting, 2012, 39, (9-10), 1330-1356 View citations (13)
2011
- CEO power, M&A decisions, and market reactions
Journal of Multinational Financial Management, 2011, 21, (5), 257-278 View citations (12)
- Corporate Finance Practices in Canada: Where Do We Stand?
Multinational Finance Journal, 2011, 15, (3-4), 157-192 View citations (4)
2008
- Evidence of non-stationary bias in scaling by square root of time: Implications for Value-at-Risk
Journal of International Financial Markets, Institutions and Money, 2008, 18, (3), 272-289 View citations (2)
- Impact of financial and multinational operations on manager perceptions of dividends
Global Finance Journal, 2008, 19, (2), 171-186 View citations (7)
- Random walk and breaking trend in financial series: An econometric critique of unit root tests
Review of Financial Economics, 2008, 17, (3), 204-212 View citations (3)
Also in Review of Financial Economics, 2008, 17, (3), 204-212 (2008) View citations (13)
- The day-of-the-week effect and conditional volatility: Sensitivity of error distributional assumptions
Review of Financial Economics, 2008, 17, (4), 280-295 View citations (12)
Also in Review of Financial Economics, 2008, 17, (4), 280-295 (2008) View citations (1)
- The economic determinants of CEO stock option compensation
Journal of Multinational Financial Management, 2008, 18, (1), 61-77 View citations (12)
2007
- Is South Korea's stock market efficient? A note
Applied Economics Letters, 2007, 14, (1), 71-74 View citations (1)
- The perception of dividends by Canadian managers: new survey evidence
International Journal of Managerial Finance, 2007, 3, (1), 70-91 View citations (23)
2006
- On the validity of conventional statistical tests given evidence of non-synchronous trading and non-linear dynamics in returns generating process
Applied Economics Letters, 2006, 13, (5), 301-305 View citations (10)
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