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Details about John D. Stowe

Workplace:Department of Finance, Ohio University, (more information at EDIRC)

Access statistics for papers by John D. Stowe.

Last updated 2025-01-07. Update your information in the RePEc Author Service.

Short-id: pst336


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Journal Articles

2021

  1. Financial clusters, industry groups, and stock return correlations
    Journal of Financial Research, 2021, 44, (1), 121-144 Downloads View citations (1)

2020

  1. Financial statement change and equity risk
    Review of Financial Economics, 2020, 38, (1), 63-75 Downloads
  2. Forming appropriate peer groups for bank research: a cluster analysis of bank financial statements
    Journal of Economics and Finance, 2020, 44, (2), 211-237 Downloads View citations (2)

2019

  1. Equity valuation: A survey of professional practice
    Review of Financial Economics, 2019, 37, (2), 219-233 Downloads View citations (13)

2018

  1. Credit union business models
    Financial Markets, Institutions & Instruments, 2018, 27, (5), 169-186 Downloads

2017

  1. Option Implied Dividends Predict Dividend Cuts: Evidence from the Financial Crisis
    Journal of Business Finance & Accounting, 2017, 44, (5-6), 755-779 Downloads View citations (2)

2013

  1. The Value and Use of the IRA Recharacterization Option
    Financial Analysts Journal, 2013, 69, (5), 61-75 Downloads

2012

  1. Why U.S. firms delist from the Tokyo stock exchange: An empirical analysis
    International Review of Economics & Finance, 2012, 24, (C), 62-70 Downloads View citations (2)

2011

  1. Does Corporate Diversification Reduce Firm Risk? Evidence from Diversifying Acquisitions
    Review of Pacific Basin Financial Markets and Policies (RPBFMP), 2011, 14, (03), 485-504 Downloads View citations (10)
  2. R^2: Does it Matter for Firm Valuation?
    The Financial Review, 2011, 46, (2), 233-250 View citations (4)

2006

  1. Can growth opportunities explain the diversification discount?
    Journal of Corporate Finance, 2006, 12, (4), 783-796 Downloads View citations (15)

1997

  1. A Contingent-Claims Approach to the Inventory-Stocking Decision
    Financial Management, 1997, 26, (4) View citations (4)

1993

  1. Product Risk, Asymmetric Information, and Trade Credit
    Journal of Financial and Quantitative Analysis, 1993, 28, (2), 285-300 Downloads View citations (157)

1985

  1. Univariate and multivariate distributions of the job descriptive index's measures of job satisfaction
    Organizational Behavior and Human Decision Processes, 1985, 35, (2), 241-251 Downloads View citations (1)

1984

  1. Microeconomic influences on operating leverage
    Journal of Economics and Business, 1984, 36, (2), 233-241 Downloads

1983

  1. A Canonical Correlation Analysis of Commercial Bank Asset/Liability Structures
    Journal of Financial and Quantitative Analysis, 1983, 18, (1), 125-140 Downloads View citations (14)

1980

  1. Relationships between the Two Sides of the Balance Sheet: A Canonical Correlation Analysis
    Journal of Finance, 1980, 35, (4), 973-80 Downloads View citations (19)
  2. The Effect of Executive Stock Options on Corporate Financial Decisions
    Journal of Financial Research, 1980, 3, (1), 69-83 Downloads
 
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