Ehsan Nikbakht

Hofstra University

Hempstead, NY 11549

United States

SCHOLARLY PAPERS

5

DOWNLOADS

608

SSRN CITATIONS
Rank 48,332

SSRN RANKINGS

Top 48,332

in Total Papers Citations

7

CROSSREF CITATIONS

7

Scholarly Papers (5)

1.

Returns and network growth of digital tokens after cross-listings

Journal of Corporate Finance, Vol. 66, No. 101853, 2021
Number of pages: 46 Posted: 05 Dec 2018 Last Revised: 03 Feb 2021
Hugo Benedetti and Ehsan Nikbakht
ESE Business School - Universidad de los Andes, Chile and Hofstra University
Downloads 428 (110,603)
Citation 5

Abstract:

Loading...

Blockchain, Cryptocurrencies, Crypto-Tokens, Tokens, Exchange, Marketplace, Listing, Bitcoin, BTC, Fintech, ICO, Initial Coin Offering

2.

Hostile Activism: Hostile Tactics or Hostile Hedge Funds?

Number of pages: 44 Posted: 11 Apr 2017 Last Revised: 31 Dec 2022
Hugo Benedetti, Ehsan Nikbakht and Andrew C. Spieler
ESE Business School - Universidad de los Andes, Chile, Hofstra University and Hofstra University - Department of Finance
Downloads 146 (318,030)

Abstract:

Loading...

Hedge Fund Activism, Hostile Activism, Activist Hedge Fund Returns, Hostile Reputation

3.

Managerial Characteristics and Hedge Fund Performance

Journal of Applied Finance, Forthcoming
Number of pages: 30 Posted: 28 Dec 2005
Braddock Financial Corporation - Tabor CenterTrailcrest Capital Advisors, Syracuse University - Whitman School of Management, Hofstra University and Hofstra University - Department of Finance
Downloads 34 (708,479)
Citation 1

Abstract:

Loading...

hedge funds, characteristics, performance

4.

Chapter 20: Traditional Asset Allocation Securities: Stocks, Bonds, Real Estate, and Cash

Financial Behavior: Players, Services, Products, and Markets. H. Kent Baker, Greg Filbeck, and Victor Ricciardi, editors, 359-377, New York, NY: Oxford University Press, 2017.
Posted: 09 Jun 2017 Last Revised: 12 Jun 2017
Independent, Hofstra University and Hofstra University - Department of Finance

Abstract:

Loading...

behavioral finance, behavioural finance, asset allocation, modern portfolio theory, mean-variance optimization, Black-Litterman model, familiarity, status quo, framing, mental accounting, overconfidence

5.

IPO Pricing and Executive Compensation

International Journal of Business, Vol. 12, No. 3, 2007
Posted: 10 Jun 2008
Ehsan Nikbakht, Manuchehr Shahrokhi and Robert Martin
Hofstra University, California State University, Fresno and affiliation not provided to SSRN

Abstract:

Loading...

IPO pricing; Market efficiency; Governance issues; Agency theory