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Details about Ronald E. Shrieves

Workplace:Haslam College of Business, University of Tennessee-Knoxville, (more information at EDIRC)

Access statistics for papers by Ronald E. Shrieves.

Last updated 2024-08-09. Update your information in the RePEc Author Service.

Short-id: psh682


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Working Papers

2009

  1. Capital Market Regimes and Bank Structure in Europe
    Working Papers, Utah State University, Department of Economics and Finance Downloads
    See also Journal Article Capital Market Regimes and Bank Structure in Europe, Journal of Money, Credit and Banking, Blackwell Publishing (2010) View citations (2) (2010)

1999

  1. Staying afloat in Japan: discretionary accounting and the behavior of banks under financial duress
    Proceedings, Federal Reserve Bank of Chicago View citations (1)

Journal Articles

2011

  1. Do Shareholders Benefit from Corporate Misconduct? A Long‐Run Analysis
    Journal of Empirical Legal Studies, 2011, 8, (3), 449-476 Downloads View citations (2)

2010

  1. Capital Market Regimes and Bank Structure in Europe
    Journal of Money, Credit and Banking, 2010, 42, (6), 1073-1092 View citations (2)
    Also in Journal of Money, Credit and Banking, 2010, 42, (6), 1073-1092 (2010) Downloads

    See also Working Paper Capital Market Regimes and Bank Structure in Europe, Working Papers (2009) Downloads (2009)
  2. Investors' Use of Historical Forecast Bias to Adjust Current Expectations
    The Financial Review, 2010, 45, (1), 129-152 Downloads

2009

  1. Understanding the Penalties Associated with Corporate Misconduct: An Empirical Examination of Earnings and Risk
    Journal of Financial and Quantitative Analysis, 2009, 44, (1), 55-83 Downloads View citations (90)

2008

  1. Convergence in the activities of European banks
    Journal of International Financial Markets, Institutions and Money, 2008, 18, (2), 161-175 Downloads View citations (5)

2006

  1. Chronic Bias in Earnings Forecasts
    Financial Analysts Journal, 2006, 62, (1), 81-96 Downloads

2003

  1. Discretionary accounting and the behavior of Japanese banks under financial duress
    Journal of Banking & Finance, 2003, 27, (7), 1219-1243 Downloads View citations (84)

2002

  1. Financing Loan Growth at Banks*
    Journal of Financial Services Research, 2002, 22, (3), 189-202 Downloads View citations (16)

2001

  1. EXECUTIVE COMPENSATION STRUCTURE AND CORPORATE GOVERNANCE CHOICES
    Journal of Financial Research, 2001, 24, (4), 495-512 Downloads View citations (30)

2000

  1. Determinants of international credit allocation: An analysis of US lending by Japanese banks, 1988 to 1994
    Pacific-Basin Finance Journal, 2000, 8, (1), 25-52 Downloads View citations (1)

1999

  1. The extension of international credit by US banks: a disaggregated analysis, 1988-1994
    Journal of International Money and Finance, 1999, 18, (1), 153-167 Downloads View citations (15)

1997

  1. Public information releases, private information arrival and volatility in the foreign exchange market
    Journal of Empirical Finance, 1997, 4, (4), 295-315 Downloads View citations (92)

1995

  1. Supervision and Cost Efficiency in Banking
    Journal of Regulatory Economics, 1995, 8, (1), 73-93
  2. The Impact of Warrants and Convertible Securities on the Systematic Risk of Common Equity
    The Financial Review, 1995, 30, (4), 843-56 View citations (3)

1994

  1. STOCKHOLDER RETURNS AMONG HOMOGENEOUS GROUPS OF MERGERS
    Journal of Financial Research, 1994, 17, (1), 45-63 Downloads View citations (1)

1993

  1. The multibank holding company effect on cost efficiency in banking
    Journal of Banking & Finance, 1993, 17, (4), 709-732 Downloads View citations (11)

1992

  1. The relationship between risk and capital in commercial banks
    Journal of Banking & Finance, 1992, 16, (2), 439-457 Downloads View citations (357)

1991

  1. The impact of regulation on bank equity infusions
    Journal of Banking & Finance, 1991, 15, (2), 467-468 Downloads View citations (5)
    Also in Journal of Banking & Finance, 1990, 14, (6), 1209-1228 (1990) Downloads View citations (33)

1981

  1. A Utility Theoretic Basis for “Generalized” Mean-Coefficient of Variation (MCV) Analysis
    Journal of Financial and Quantitative Analysis, 1981, 16, (5), 671-683 Downloads

1979

  1. Bankruptcy Avoidance as a Motive For Merger*
    Journal of Financial and Quantitative Analysis, 1979, 14, (3), 501-515 Downloads View citations (25)

1978

  1. Market Structure and Innovation: A New Perspective
    Journal of Industrial Economics, 1978, 26, (4), 329-47 Downloads View citations (19)

1972

  1. Conglomerate Performance Using the Capital Asset Pricing Model
    The Review of Economics and Statistics, 1972, 54, (4), 357-63 Downloads View citations (4)
 
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