George Athanassakos

University of Western Ontario - Finance-Economics Area Group

Professor

London, Ontario N6A 5B8

Canada

SCHOLARLY PAPERS

13

DOWNLOADS
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3,530

SSRN CITATIONS
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Top 44,786

in Total Papers Citations

0

CROSSREF CITATIONS

16

Scholarly Papers (13)

1.

Institutional Investors, Analyst Following, and the January Anomaly

FRB Atlanta Working Paper 98-8
Number of pages: 21 Posted: 03 Sep 1998
Lucy F. Ackert and George Athanassakos
Kennesaw State University - Michael J. Coles College of Business and University of Western Ontario - Finance-Economics Area Group
Downloads 1,429 (21,834)
Citation 5

Abstract:

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2.

Separating Winners from Losers Among Value and Growth Stocks in Canada Another Step in the Value Investing Process

Journal of Applied Research in Accounting and Finance (JARAF), Vol. 8, No. 1, 2013
Number of pages: 32 Posted: 10 Jun 2013
George Athanassakos
University of Western Ontario - Finance-Economics Area Group
Downloads 1,279 (25,768)

Abstract:

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financial reporting

3.

A Simultaneous Equations Analysis of Analysts' Forecast Bias and Institutional Ownership

EFMA 2001 Lugano Meetings; FR Bank of Atlanta Working Paper No. 2000-5
Number of pages: 37 Posted: 28 Jun 2000
Lucy F. Ackert and George Athanassakos
Kennesaw State University - Michael J. Coles College of Business and University of Western Ontario - Finance-Economics Area Group
Downloads 596 (73,505)
Citation 1

Abstract:

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4.

Earnings Quality and Book-to-Market in the Cross Section of Expected Returns

Number of pages: 44 Posted: 21 Oct 2019
Vasiliki E. Athanasakou and George Athanassakos
Saint Mary's University, Canada - Sobey School of Business and University of Western Ontario - Finance-Economics Area Group
Downloads 118 (372,499)
Citation 1

Abstract:

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value premium, earnings quality, earnings management, asset pricing

5.

Estimating the Cost of Equity and Equity Risk-Premia of Canadian Firms

Multinational Finance Journal, Vol. 1, No. 3, p. 229-254, 1997
Number of pages: 26 Posted: 18 Jul 2015
George Athanassakos
University of Western Ontario - Finance-Economics Area Group
Downloads 65 (539,608)

Abstract:

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equity risk-premia; cost of equity; CAPM; bond-plus risk-premium

6.

The Scrutinized-Firm Effect, Portfolio Rebalancing, Stock Return Seasonality, and the Pervasiveness of the January Effect in Canada

Multinational Finance Journal, Vol. 6, No. 1, p. 1-27, 2002
Number of pages: 27 Posted: 08 Jul 2015
George Athanassakos
University of Western Ontario - Finance-Economics Area Group
Downloads 43 (660,866)

Abstract:

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firm visibility; gamesmanship hypothesis; January effect; portfolio rebalancing

7.

Portfolio Rebalancing, Conflicts of Interest of Delegated Investment Management and Seasonality in Canadian Financial Markets

Journal of Investment Strategies, Vol. 10, No. 4, 2022
Posted: 09 Jun 2022
George Athanassakos
University of Western Ontario - Finance-Economics Area Group

Abstract:

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portfolio rebalancing, window dressing, January effect, 'sell in May and go away' effect, agency considerations, portfolio managers

8.

Separating Winners from Losers Among Value and Growth Stocks in Different US Exchanges: 1969-2011

Journal of Investment Management (JOIM), Fourth Quarter 2014
Posted: 15 Nov 2014
George Athanassakos
University of Western Ontario - Finance-Economics Area Group

Abstract:

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Financial statement analysis, value, growth, price-to-earnings, price-to-book, composite score indicator

9.

The Performance, Pervasiveness, and Determinants of Value Premium in Different US Exchanges: 1985-2006

Journal Of Investment Management (JOIM), Third Quarter 2011
Posted: 24 Aug 2011
George Athanassakos
University of Western Ontario - Finance-Economics Area Group

Abstract:

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Value stocks, growth stocks, value premium, market efficiency, behavioral finance

10.

Analyst Forecast Dispersion and Future Stock Return Volatility

Analyst Forecast Dispersion and Future Stock Return Volatility" Quarterly Journal of Business and Economics, Vol. 42, Nos. 1 and 2, Winter/Spring 2003, pp 57-78 .
Posted: 19 Nov 2006
Madhu Kalimipalli and George Athanassakos
Lazaridis School of Business and Economics, Wilfrid Laurier University and University of Western Ontario - Finance-Economics Area Group

Abstract:

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dispersion, optimism, stock return volatility, pooled regressions

11.

Firm Size, Stock Return Seasonality, and the Trading Pattern of Individual and Institutional Investors: The Canadian Experience

Journal of Investing, Fall 1997
Posted: 03 May 1998
George Athanassakos
University of Western Ontario - Finance-Economics Area Group

Abstract:

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12.

Stockholder Wealth Effects of Eurobond Financing: A Canadian Perspective

GLOBAL FINANCE JOURNAL, Vol. 7, No. 2, Fall/Winter 1996
Posted: 17 Apr 1997
George Athanassakos and Jacques A. Schnabel
University of Western Ontario - Finance-Economics Area Group and Wilfrid Laurier University - School of Business & Economics

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13.

Prior Uncertainty, Analyst Bias, and Subsequent Abnormal Returns

J. OF FINANCIAL RESEARCH
Posted: 26 Mar 1997
Lucy F. Ackert and George Athanassakos
Kennesaw State University - Michael J. Coles College of Business and University of Western Ontario - Finance-Economics Area Group

Abstract:

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