Ziwen Bu

University of Birmingham - Birmingham Business School

Edgbaston Park Road

Birmingham, B15 2TY

United Kingdom

SCHOLARLY PAPERS

6

DOWNLOADS

1,039

TOTAL CITATIONS

2

Scholarly Papers (6)

1.

Are CEOs Punished for Managing Earnings?

Number of pages: 46 Posted: 17 Dec 2021 Last Revised: 19 Jan 2024
Birmingham City University - School of Business, University of York, FGV - EAESP and University of Birmingham - Birmingham Business School
Downloads 260 (254,713)

Abstract:

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Executive compensation; Abnormal compensation; Earnings management

2.

Effect of Cash Flow Risk on Corporate Failures, and the Moderating Role of Earnings Management and Abnormal Compensation

International Review of Financial Analysis, Forthcoming
Number of pages: 40 Posted: 07 Dec 2021 Last Revised: 28 Jun 2023
Birmingham City University - School of Business, University of York, University of Birmingham - Birmingham Business School and CSU Dominguez Hills
Downloads 244 (271,499)
Citation 2

Abstract:

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Financial distress; Cash flow risk; Bankruptcy; Earnings management; Abnormal compensation

3.

Economic Policy Uncertainty and the Marginal Value of Corporate Cash Holdings

Number of pages: 39 Posted: 12 Jul 2021 Last Revised: 16 Aug 2023
University of Birmingham - Birmingham Business School, University of Leeds, Sun Yat-sen University (SYSU) and Loughborough University - Loughborough Business School
Downloads 186 (351,392)

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Cash holdings; Economic policy uncertainty; Investment

4.

Product Market Competition, Labor Mobility, and the Cross-Section of Stock Returns

Forthcoming in Review of Asset Pricing Studies
Number of pages: 74 Posted: 27 May 2020 Last Revised: 04 Jan 2023
Shamim Ahmed, Ziwen Bu and Xiaoxia Ye
University of Liverpool - Management School (ULMS), University of Birmingham - Birmingham Business School and University of Nottingham
Downloads 131 (472,780)

Abstract:

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Labor mobility; Product market competition; Risk premium; Stock returns

5.

Illiquidity, R&D Investment, and Stock Returns

Forthcoming, Journal of Money, Credit and Banking
Number of pages: 84 Posted: 02 Oct 2020 Last Revised: 11 Jul 2022
Shamim Ahmed, Ziwen Bu and Xiaoxia Ye
University of Liverpool - Management School (ULMS), University of Birmingham - Birmingham Business School and University of Nottingham
Downloads 120 (506,263)

Abstract:

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Illiquidity; Research and Development Investment; Risk Premium; Stock Returns

6.

Which Factor Model? A Systematic Return Covariation Perspective

Journal of International Money and Finance, Forthcoming
Number of pages: 90 Posted: 28 Apr 2023 Last Revised: 10 May 2023
University of Liverpool - Management School (ULMS), University of Birmingham - Birmingham Business School, Essex Business School, University of Essex and University of East Anglia (UEA) - Norwich Business School
Downloads 98 (587,565)

Abstract:

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Asset pricing model; Factor model; Model evaluation; Portfolio selection; Out-ofsample