H3.43, Building H, Level 3
Monash University Caulfiled
Melbourne, VIC 3145
Australia
Monash University
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Dividends, Earnings management, Agency problems, Investor protection, Equity issuance
Climate risk, climate change, dividends, share repurchases, culture
Goodwill, intangible assets, accounting standards, stock price crash risk
Recommendations, trading, large traders, small traders
Investor mood; Stock prices; Risk aversion; Earnings forecasts; Experiment
agency problems, dividends, corporate governance, Japan, product market competition
stock prices, market returns, aggregate earnings, international markets, accounting disclosure
Corporate social responsibility, Environment, Initial public offerings, Externalities, Fracturing, Oil and gas development
bank loan, religion, social norms, credit
foreign investors, foreign investor trading, price efficiency, institutional investors, Japan
Accounting Disclosure, Earnings News, Implied Volatility, Information, Market Uncertainty
Groups, teamwork, group hierarchy, analyst earnings forecasts
Corporate social responsibility, government, poverty alleviation, China
agency problems, corporate governance, corporate disclosure, capital allocation
Dividends, Dividend Regulations, Corporate Finance, China, Emerging Markets
stock recommendations, distribution management, financial analysts, brokers, equity research
Climate risk, payout flexibility, dividend substitution, share repurchases, culture
Capital structures; international markets; deviations from the target; corporate finance
Auditor, audit quality, Migration, audit partner, graduates
Materiality, subsequent events, disclosure, COVID-19, accounting standards I18, M41, M42
Earnings surprises, reference point, stock returns, trading volume, behavioral finance
Regulatory cooperation, SEC enforcement, cash holdings, cross-listed firms, corporate governance JEL classifications: G32
Extrapolation, Representative heuristic, Investor behavior, Expected returns, Expected earnings growth rates
Earnings surprises; reference point; stock returns; trading volume; behavioral finance