Details about Udomsak Wongchoti
Access statistics for papers by Udomsak Wongchoti.
Last updated 2019-07-10. Update your information in the RePEc Author Service.
Short-id: pwo285
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Journal Articles
2019
- Is Financial Flexibility a Priced Factor in the Stock Market?
The Financial Review, 2019, 54, (2), 345-375 View citations (3)
- The geography of CSR
International Review of Economics & Finance, 2019, 59, (C), 265-288 View citations (11)
2018
- Are Low Equity R2 Firms More or Less Transparent? Evidence from the Corporate Bond Market
Financial Management, 2018, 47, (4), 865-909 View citations (8)
2016
- Does institutional shareholder activism stimulate corporate information flow?
Journal of Banking & Finance, 2016, 70, (C), 105-117 View citations (3)
- Does it pay to be different? Relative CSR and its impact on firm value
International Review of Financial Analysis, 2016, 47, (C), 86-98 View citations (39)
- Gender diversity, state control, and corporate risk-taking: Evidence from China
Pacific-Basin Finance Journal, 2016, 39, (C), 141-158 View citations (38)
2015
- Military regimes and stock market performance
Emerging Markets Review, 2015, 22, (C), 76-95 View citations (6)
- Political Connection and Stock Returns: A Longitudinal Study
The Financial Review, 2015, 50, (1), 89-119 View citations (13)
- Stock return synchronicity and the market response to analyst recommendation revisions
Journal of Banking & Finance, 2015, 58, (C), 376-389 View citations (20)
2009
- Buy and sell dynamics following high market returns: Evidence from China
International Review of Financial Analysis, 2009, 18, (1-2), 12-20 View citations (2)
2008
- Behavioral explanations of trading volume and short-horizon price patterns: An investigation of seven Asia-Pacific markets
Pacific-Basin Finance Journal, 2008, 16, (3), 183-203 View citations (8)
- Short-horizon contrarian and momentum strategies in Asian markets: An integrated analysis
International Review of Financial Analysis, 2008, 17, (2), 312-329 View citations (17)
2005
- Asymmetric Information in the IPO Aftermarket
The Financial Review, 2005, 40, (2), 131-153 View citations (11)
- Risk‐Adjusted Long‐Term Contrarian Profits: Evidence from Non‐S&P 500 High‐Volume Stocks
The Financial Review, 2005, 40, (3), 335-359 View citations (3)
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