Gordon V. Karels

University of Nebraska at Lincoln - Department of Finance

Lincoln, NE 68588-0490

United States

SCHOLARLY PAPERS

7

DOWNLOADS
Rank 44,787

SSRN RANKINGS

Top 44,787

in Total Papers Downloads

1,082

SSRN CITATIONS
Rank 41,480

SSRN RANKINGS

Top 41,480

in Total Papers Citations

13

CROSSREF CITATIONS

3

Scholarly Papers (7)

1.

The Structural Changes in the Ff Three-Factor Model and its Robustness in the Bear-Bull Market Periods

Number of pages: 43 Posted: 21 Nov 2005
Florida International University (FIU) - Department of Finance, University of Nebraska at Lincoln - Department of Finance, Florida International University (FIU) - Department of Finance and Florida International University (FIU) - Department of Finance
Downloads 418 (77,982)

Abstract:

Loading...

2.

Skewness Preference and Measurement of Abnormal Returns: A Comparative Evaluation of Current vs Proposed Event Study Paradigm

Number of pages: 54 Posted: 10 Sep 2004
Suchi Mishra, Arun J. Prakash and Gordon V. Karels
Florida International University (FIU) - Department of Finance, Florida International University (FIU) - Department of Finance and University of Nebraska at Lincoln - Department of Finance
Downloads 366 (90,969)

Abstract:

Loading...

Co-skewness, three moment CAPM, event studies, Kraus and Litzenberger, preference, abnormal returns, comparative evaluation, event study

3.

The Effect of the Common Bond and Membership Expansion on Credit Union Risk

FRB Atlanta Working Paper No. 2001-10
Number of pages: 33 Posted: 30 May 2001
W. Scott Frame, Gordon V. Karels and Christine McClatchey
Federal Reserve Bank of Dallas, University of Nebraska at Lincoln - Department of Finance and University of Northern Colorado
Downloads 278 (123,016)
Citation 5

Abstract:

Loading...

Credit unions, common bond, concentration risk

4.

Financial Services Modernization Act of 1999: Market Assessment of Winners and Losers in The Insurance Industry

Massey University, Department of Commerce Working Paper No. 04.01
Number of pages: 25 Posted: 05 Jun 2017
University of Saskatchewan - Department of Finance and Management Science, University of New Orleans - College of Business Administration - Department of Economics and Finance, University of New Orleans - College of Business Administration and University of Nebraska at Lincoln - Department of Finance
Downloads 11 (640,497)

Abstract:

Loading...

Insurance Industry, Wealth Effects, Financial Modernization Act, Cross-Industry Merger, Systematic Risk

5.

Deposit Insurance, Market Discipline and Off-Balance Sheet Banking Risk of Large U.S. Commercial Banks

Department of Economics and Finance Working Papers, 1991-2006, Paper 52
Number of pages: 35 Posted: 01 Nov 2018
M. Kabir Hassan and Gordon V. Karels
University of New Orleans - College of Business Administration - Department of Economics and Finance and University of Nebraska at Lincoln - Department of Finance
Downloads 9 (654,806)
Citation 10

Abstract:

Loading...

Market Discipline, Off-Balance Sheet, OBSA, Contingent Claims, Valuation, Implied Asset Variance

6.

Impact of Ownership Structure and Regulation on the Risk-Taking Behavior of Depository Institutions

Journal of Financial Management and Analysis, Vol. 18, 2005
Posted: 18 Apr 2006
M. Kabir Hassan, Gordon V. Karels and Stephen Wilcox
University of New Orleans - College of Business Administration - Department of Economics and Finance, University of Nebraska at Lincoln - Department of Finance and Minnesota State University, Mankato

Abstract:

Loading...

Ownership structure, Option-pricing methodology, Equity risk

7.

Loan Loss Reporting, Early Disclosure, and Investor Reactions

Posted: 22 May 2000
Gordon V. Karels, Steven V. Mann and Stephen Wilcox
University of Nebraska at Lincoln - Department of Finance, University of South Carolina and Minnesota State University, Mankato

Abstract:

Loading...