Elyas Elyasiani

Temple University - Department of Finance

Professor

Fox School of Business and Management

Philadelphia, PA 19122

United States

SCHOLARLY PAPERS

54

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SSRN CITATIONS
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Top 2,904

in Total Papers Citations

231

CROSSREF CITATIONS

374

Scholarly Papers (54)

1.

Risk Management Research Report - Spring 2010

Risk Management Research Report, Spring 2010
Number of pages: 16 Posted: 23 Apr 2010
HEC Paris - Finance Department, affiliation not provided to SSRN, University of Massachusetts Amherst - Department of Finance, Brooklyn College - CUNY, Drexel University, Loyola Marymount University - Department of Finance, University of Rochester - Simon Business School, Temple University - Department of Finance, Southern Illinois University - Department of Economics & Finance, University of California, Santa Barbara (UCSB) - Department of Economics, University of California, San Diego (UCSD) - Rady School of Management, University of Utah - David Eccles School of Business, Mitchell E. Daniels, Jr School of Business, Purdue University, HEC Paris - Finance Department, Harvard Law School, Columbia University - Columbia Business School, Finance, New York University (NYU) - Department of Finance, Department of Economics, Texas A&M University, Texas A&M University - Department of Economics, International Food Policy Research Institute (IFPRI)International Food Policy Research Institute (IFPRI), University of Navarra, IESE Business School, University of Georgia - Department of Banking and Finance, Southern Methodist University (SMU) - Finance Department, Pennsylvania State University, Smeal College of Business, University of California at Los Angeles - Anderson School of Management, INSEAD, University of South Florida - College of Business Administration, Fordham University, New York University (NYU) - Department of Finance, Fordham University - Gabelli School of Business and Loyola University of Chicago - Department of Finance
Downloads 1,435 (25,072)

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Risk, Risk Management, Derivatives, Corporate Governance, Financial Derivatives, Value-At-Risk, VaR, Ethics, Volatility, Variance, Standard Deviation, Systemic, Systematic

2.

Derivative Exposure and the Interest Rate and Exchange Rate Risks of U.S. Banks

Journal of Financial Services Research, Vol. 15, October/December 1997
Number of pages: 34 Posted: 01 Feb 1997 Last Revised: 20 Apr 2014
Elyas Elyasiani and Jongmoo Jay Choi
Temple University - Department of Finance and Temple University
Downloads 1,052 (39,345)
Citation 40

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3.

Interest Rate Sensitivity and Equity Values of Life Insurance Companies: A Garch-M Model

Journal of Risk and Insurance, Forthcoming
Number of pages: 29 Posted: 08 Feb 2006
DePaul University - Department of Finance, University of Georgia, Temple University - Department of Finance, Widener University - School of Business Administration and Illinois State University
Downloads 570 (88,952)

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Interest Rate Risk, Life Insurers, Equity Values, GARCH-M

4.

Institutional Ownership Stability and the Cost of Debt

Number of pages: 50 Posted: 13 Nov 2006
Elyas Elyasiani, Jingyi Jia and Connie X. Mao
Temple University - Department of Finance, Southern Illinois University - Department of Economics & Finance and Temple University - Fox School of Business and Management
Downloads 555 (91,973)
Citation 16

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Institutional ownership stability, corporate governance, agency problems, cost of debt

5.

Market Risk, Interest Rate Risk, and Interdependencies in Insurer Stock Returns: A System-GARCH Model

Journal of Risk and Insurance, Vol. 75, No. 4, pp. 873-891, December 2008
Number of pages: 25 Posted: 29 Jun 2006 Last Revised: 20 Apr 2014
James M. Carson, Elyas Elyasiani and Iqbal Mansur
University of Georgia, Temple University - Department of Finance and Widener University - School of Business Administration
Downloads 439 (122,160)
Citation 3

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Insurance, Stock Returns, Interest Rates, Diversification, System-GARCH

6.

The Sensitivity of Bank Stock Returns to Market, Interest and Exchange Rate Risks

Journal of Banking and Finance 16 (1992) 983-1004.
Number of pages: 22 Posted: 18 Jun 2014
Jongmoo Jay Choi, Elyas Elyasiani and Kenneth J. Kopecky
Temple University, Temple University - Department of Finance and Temple University - Department of Finance
Downloads 365 (150,831)
Citation 7

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7.

Diversification and the Cost of Debt of Bank Holding Companies

Journal of Banking and Finance, Forthcoming
Number of pages: 35 Posted: 14 Nov 2006
Saiying Deng, Elyas Elyasiani and Connie X. Mao
University of Minnesota-Duluth, Temple University - Department of Finance and Temple University - Fox School of Business and Management
Downloads 344 (160,860)
Citation 1

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Bank holding company, diversification, cost of debt

8.

Sensitivity of the Bank Stock Returns Distribution to Changes in the Level and Volatility of Interest Rate: A GARCH-M Model

Journal of Banking & Finance 22 (1998) 535-563, Fox School of Business Research Paper
Number of pages: 29 Posted: 17 Jun 2014
Elyas Elyasiani and Iqbal Mansur
Temple University - Department of Finance and Widener University - School of Business Administration
Downloads 300 (186,041)
Citation 4

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Bank stocks, GARCH, Interest rate risk

9.

Distribution of Institutional Ownership and Corporate Firm Performance

Journal of Banking & Finance 34 (2010) 606–620
Number of pages: 15 Posted: 18 Jun 2014
Elyas Elyasiani and Jingyi Jia
Temple University - Department of Finance and Southern Illinois University - Department of Economics & Finance
Downloads 281 (200,627)
Citation 12

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Institutional ownership, Monitoring, Firm performance

10.

Cross-Industry Product Diversification and Contagion in Risk and Return: The Case of Bank-Insurance and Insurance-Bank Takeovers

The Journal of Risk and Insurance, Vol. 83, No. 3, 2016, 681–718
Number of pages: 52 Posted: 16 Jun 2012 Last Revised: 08 Jun 2023
Temple University - Department of Finance, City University - Cass Business School and ESCP Business School
Downloads 261 (214,548)
Citation 4

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Cross-Industry, Bancassurance, Takeovers, Diversification, Spillovers, GARCH

11.

Geographic Diversification, Bank Holding Company Value, and Risk

Journal of Money, Credit, and Banking, Vol. 40, No. 6, 2008
Number of pages: 23 Posted: 10 Apr 2011
Saiying Deng and Elyas Elyasiani
Kent State University and Temple University - Department of Finance
Downloads 240 (233,020)
Citation 8

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bank holding company, geographic diversification, distance

12.

Institutional Ownership Stability and BHC Performance

Journal of Banking and Finance, December 9, 2007
Number of pages: 36 Posted: 14 Jan 2008
Elyas Elyasiani
Temple University - Department of Finance
Downloads 240 (233,020)
Citation 3

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BHC performance, Institutional ownership stability, regulation, market discipline

13.

Oil Price Shocks and Industry Stock Returns

Energy Economics 33 (2011) 966–974, Fox School of Business Research Paper
Number of pages: 9 Posted: 16 Jun 2014
Elyas Elyasiani, Iqbal Mansur and Babatunde O Odusami
Temple University - Department of Finance, Widener University - School of Business Administration and Widener University - School of Business Administration
Downloads 219 (254,327)
Citation 5

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Oil price, Industry excess returns, Industry return volatility, GARCH

14.

Relationship Lending: A Survey of the Literature

Journal of Economics and Business 56 (2004) 315–330
Number of pages: 16 Posted: 18 Jun 2014
Elyas Elyasiani and Lawrence G. Goldberg
Temple University - Department of Finance and University of Miami - Department of Finance
Downloads 218 (255,464)
Citation 9

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Relationship; Lending; Banking

15.

Institutional Ownership Stability and Risk Taking: Evidence from the Life-Health Insurance Industry

Journal of Risk and Insurance, Forthcoming, Networks Financial Institute Working Paper No. 2011-WP-14
Number of pages: 45 Posted: 18 Jul 2011
Jiang Cheng, Elyas Elyasiani and Jingyi Jia
Shanghai Jiao Tong University (SJTU), Temple University - Department of Finance and Southern Illinois University - Department of Economics & Finance
Downloads 156 (343,851)
Citation 6

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Life Insurance, Institutional Ownershp, Monitoring, Risk Taking

16.

Bank Stock Return Sensitivities to the Long-Term and Short-Term Interest Rates: A Multivariate GARCH Approach

Managerial Finance; 2004; 30, 9; p.32-55, Fox School of Business Research Paper
Number of pages: 24 Posted: 17 Jun 2014
Elyas Elyasiani and Iqbal Mansur
Temple University - Department of Finance and Widener University - School of Business Administration
Downloads 146 (363,030)
Citation 8

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Large Capital Infusions, Investor Reactions, and the Return and Risk-Performance of Financial Institutions Over the Business Cycle

Journal of Financial Stability 11 (2014) 62-81, Fox School of Business Research Paper
Number of pages: 20 Posted: 17 Jun 2014
Elyas Elyasiani, Loretta J. Mester and Michael S. Pagano
Temple University - Department of Finance, Federal Reserve Bank of Cleveland and Villanova University - Villanova School of Business
Downloads 87 (532,296)

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Securities issuance, Market reaction, Financial service firms, Commercial banks, Government intervention

Large Capital Infusions, Investor Reactions, and the Return and Risk-Performance of Financial Institutions Over the Business Cycle

FRB of Philadelphia Working Paper No. 13-23
Number of pages: 44 Posted: 25 May 2013
Elyas Elyasiani, Loretta J. Mester and Michael S. Pagano
Temple University - Department of Finance, Federal Reserve Bank of Cleveland and Villanova University - Villanova School of Business
Downloads 53 (700,362)

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Securities Issuance, Market Reaction, Financial Service Firms, Commercial Banks, Government Intervention

18.

Market Discipline in the Secondary Bond Market: The Case of Systemically Important Banks

FRB of Philadelphia Working Paper No. 17-5
Number of pages: 54 Posted: 17 Mar 2017
Elyas Elyasiani and Jason Keegan
Temple University - Department of Finance and Federal Reserve Banks - Federal Reserve Bank of Philadelphia
Downloads 135 (386,004)

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Bank Risk, Financial Crisis, U.S. Bank Holding Companies, Risk Management, Market Discipline

19.

Bank Stability and Managerial Compensation

Journal of Banking & Finance 37 (2013) 799–813
Number of pages: 15 Posted: 18 Jun 2014
Gang Bai and Elyas Elyasiani
Southwestern University of Finance and Economics (SWUFE) - School of Finance and Temple University - Department of Finance
Downloads 134 (388,271)
Citation 15

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Executive compensation, Insolvency risk, Bank holding company, Pay inequality, Vega, Too big to fail

20.

Large Capital Infusions, Investor Reactions, and the Return and Risk Performance of Financial Institutions Over the Business Cycle and Recent Financial Crisis

FRB of Philadelphia Working Paper No. 11-46
Number of pages: 37 Posted: 12 Oct 2011 Last Revised: 10 Dec 2015
Elyas Elyasiani, Loretta J. Mester and Michael S. Pagano
Temple University - Department of Finance, Federal Reserve Bank of Cleveland and Villanova University - Villanova School of Business
Downloads 128 (402,370)
Citation 14

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Securities Issuance, Market Reaction, Financial Service Firms, Commercial Banks, Government Intervention

21.

Performance Persistence of Closed-End Funds

Review of Quantitative Finance and Accounting, Vol. 37, No. 3, 2011, pp.381-408
Number of pages: 28 Posted: 18 Jun 2014
Elyas Elyasiani and Jingyi Jia
Temple University - Department of Finance and Southern Illinois University - Department of Economics & Finance
Downloads 121 (419,679)

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Closed-end fund, Persistence, Contingency tables, Jensen’s alpha

22.

The Association between Market and Exchange Rate Risks and Accounting Variables: A GARCH Model of the Japanese Banking Institutions

Review of Quantitative Finance and Accounting, 25: 183–206, 2005, Fox School of Business Research Paper
Number of pages: 24 Posted: 17 Jun 2014
Elyas Elyasiani and Iqbal Mansur
Temple University - Department of Finance and Widener University - School of Business Administration
Downloads 117 (430,432)

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bank, Japanese, risk, accounting ratios

23.

Determinants of Corporate Cash Holdings: An Application of Robust Variable Selection Technique

Number of pages: 47 Posted: 11 Nov 2020
Elyas Elyasiani and hadi movaghari
Temple University - Department of Finance and University of Glasgow - Adam Smith Business School
Downloads 107 (459,806)
Citation 1

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Corporate Cash Holding, Cash-Rich Firms, Robust Variable Selection, The Least Absolute Shrinkage and Selection Operator (LASSO), Least Absolute Deviation Regression (LAD)

24.

Diversification and the Cost of Debt of Bank Holding Companies

Journal of Banking and Finance, Vol. 31, 2007
Number of pages: 21 Posted: 10 Apr 2011
Saiying Deng, Elyas Elyasiani and Connie X. Mao
Kent State University, Temple University - Department of Finance and Temple University - Fox School of Business and Management
Downloads 96 (495,315)
Citation 2

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Bank holding company, Diversification, Cost of debt

25.

Managerial Discretion, Earnings Opacity, and Stock Price Informativeness

Number of pages: 40 Posted: 16 Jun 2022
James M. Carson, Cameron Ellis, Elyas Elyasiani and Yuan Wen
University of Georgia, University of Iowa, Temple University - Department of Finance and State University of New York at New Paltz
Downloads 88 (523,434)

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Earnings Quality, Discretionary Opacity, Stock Price Informativeness, News Hoarding, Information Asymmetry

26.

Costs of Adjustment, Portfolio Separation, and the Dynamic Behavior of Bank Loans and Deposits

Journal of Money, Credit, and Banking (November 1995) Vol. 27, No. 4, pp.955-974, Fox School of Business Research Paper
Number of pages: 20 Posted: 17 Jun 2014
Elyas Elyasiani, Kenneth J. Kopecky and David D. VanHoose
Temple University - Department of Finance, Temple University - Department of Finance and Baylor University - Department of Economics
Downloads 80 (554,558)
Citation 2

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27.

Real Estate Investment by Bank Holding Companies and Their Risk and Return: Nonparametric and GARCH Procedures

Applied Financial Economics, 2014, Vol. 24, No. 13, 907–926, Fox School of Business Research Paper
Number of pages: 20 Posted: 17 Jun 2014
Scott Deacle and Elyas Elyasiani
Ursinus College and Temple University - Department of Finance
Downloads 80 (554,558)

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Bank Holding Companies, product diversification, real estate, risk

28.

The Comparative Efficiency Performance of Small and Large US Commercial Banks in the Pre- and Post-Deregulation Eras

Applied Economics (1995) 27, 1069-1079, Fox School of Business Research Paper
Number of pages: 11 Posted: 17 Jun 2014 Last Revised: 30 Dec 2016
Elyas Elyasiani and Seyed Mehdian
Temple University - Department of Finance and Ohio State University
Downloads 70 (597,774)
Citation 3

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29.

Interdependence and Dynamic Linkages between Stock Markets of Sri Lanka and Its Trading Partners

Journal of Multinational Financial Management 8 (1998), 89-101, Fox School of Business Research Paper
Number of pages: 13 Posted: 17 Jun 2014
Elyas Elyasiani, Priyal Perera and Tribhuvan Puri
Temple University - Department of Finance, Independent and University of Massachusetts Dartmouth - Department of Accounting & Finance
Downloads 67 (611,638)
Citation 2

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VAR, Sri Lanka, Emerging country

30.

A Nonparametric Approach to Measurement of Efficiency and Technological Change: The Case of Large U.S. Commercial Banks

Journal of Financial Services Research (1990) 4:157-168, Fox School of Business Research Paper
Number of pages: 12 Posted: 17 Jun 2014
Elyas Elyasiani and Seyed M. Mehdian
Temple University - Department of Finance and University of Michigan at Flint
Downloads 66 (616,469)

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31.

International Interdependence of an Emerging Market: The Case of Iran

Applied Economics, Vol. 40, 2008, 395–412, Fox School of Business Research Paper
Number of pages: 18 Posted: 18 Jun 2014
Elyas Elyasiani and Wanli Zhao
Temple University - Department of Finance and Bocconi University - Department of Accounting
Downloads 63 (631,514)

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32.

International Spillover of Risk and Return Among Major Banking Institutions: A Bivariate GARCH Model

Journal of Accounting, Auditing and Finance (2003) 18:303, Fox School of Business Research Paper
Number of pages: 29 Posted: 17 Jun 2014
Elyas Elyasiani and Iqbal Mansur
Temple University - Department of Finance and Widener University - School of Business Administration
Downloads 59 (652,328)
Citation 3

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33.

Convergence and Risk-Return Linkages Across Financial Service Firms

Journal of Banking & Finance 31 (2007) 1167–1190, Fox School of Business Research Paper
Number of pages: 24 Posted: 17 Jun 2014
Elyas Elyasiani, Iqbal Mansur and Michael S. Pagano
Temple University - Department of Finance, Widener University - School of Business Administration and Villanova University - Villanova School of Business
Downloads 59 (652,328)
Citation 7

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Banks, Investment banks, Insurance companies, Convergence, Spillover, GARCH

34.

Sensitivity of Bank Equity Returns to the Level and Volatility of Interest Rates

Managerial Finance; 1995; 21, 7; p. 57-77, Fox School of Business Research Paper
Number of pages: 21 Posted: 17 Jun 2014
Iqbal Mansur and Elyas Elyasiani
Widener University - School of Business Administration and Temple University - Department of Finance
Downloads 55 (674,351)
Citation 1

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35.

Information Transmission and Spillover in Currency Markets: A Generalized Variance Decomposition Analysis

The Quarterly Review of Economics and Finance 47 (2007) 312–330, Fox School of Business Research Paper
Number of pages: 19 Posted: 16 Jun 2014
Elyas Elyasiani, Ahmet Kocagil and Iqbal Mansur
Temple University - Department of Finance, Fitch Ratings Inc. and Widener University - School of Business Administration
Downloads 55 (680,087)

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Intraday, Currency futures, Generalized variance decomposition

36.

The Performance of Foreign Owned, Minority Owned, and Holding Company Owned Banks in the US

Journal of Banking and Finance 12 (1988), 293-313, Fox School of Business Research Paper
Number of pages: 21 Posted: 17 Jun 2014
David Meinster and Elyas Elyasiani
Independent and Temple University - Department of Finance
Downloads 53 (685,827)
Citation 1

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37.

Interdependence and Dynamics in Currency Futures Markets: A Multivariate Cointegration Analysis of Intra-Day Data

Journal of Banking and Finance, 25 (2001), 1161-1186, Fox School of Business Research Paper
Number of pages: 26 Posted: 16 Jun 2014
Elyas Elyasiani and Ahmet Kocagil
Temple University - Department of Finance and Fitch Ratings Inc.
Downloads 51 (697,670)
Citation 2

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Intraday data, Foreign currencies, Cointegration

38.

Productive Efficiency Performance of Minority and Nonminority-Owned Banks: A Nonparametric Approach

Journal of Banking and Finance 16 (1992) 933-948, Fox School of Business Research Paper
Number of pages: 16 Posted: 17 Jun 2014
Elyas Elyasiani and Seyed Mehdian
Temple University - Department of Finance and Ohio State University
Downloads 50 (703,925)
Citation 2

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39.

Generalized Functional Forms and Demand for Money in an Open Economy: The Case of the United Kingdom

Applied Economics, Vol. 27, 1995, 737-743, Fox School of Business Research Paper
Number of pages: 7 Posted: 17 Jun 2014 Last Revised: 30 Dec 2016
Elyas Elyasiani and Ali Zadeh
Temple University - Department of Finance and Susquehanna University - School of Business
Downloads 38 (784,975)
Citation 1

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40.

Measuring Technical and Scale Inefficiencies in the Beer Industry: Nonparametric and Parametric Evidence

The Quarterly Review of Economics and Finance (1993), 33:4, pp. 383-408, Fox School of Business Research Paper
Number of pages: 26 Posted: 17 Jun 2014
Elyas Elyasiani and Seyed Mehdian
Temple University - Department of Finance and Ohio State University
Downloads 38 (784,975)

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41.

Econometric Tests of Alternative Scale Variables in Money Demand in Open Economies International Evidence from Selected OECD Countries

The Quarterly Review of Economics and Finance 39 (1999) 193–211, Fox School of Business Research Paper
Number of pages: 19 Posted: 17 Jun 2014
Elyas Elyasiani and Ali Zadeh
Temple University - Department of Finance and Susquehanna University - School of Business
Downloads 34 (815,623)
Citation 1

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Money demand, Non-nested, Scale variable, OECD

42.

Selection of the Scale Measure in Narrow Money Demand: The Cases of Japan and Germany

Quarterly Journal of Business and Economics, Winter/Spring 2006, pp.115-135, Fox School of Business Research Paper
Number of pages: 21 Posted: 17 Jun 2014 Last Revised: 30 Dec 2016
Elyas Elyasiani and Ali Zadeh
Temple University - Department of Finance and Susquehanna University - School of Business
Downloads 31 (839,854)

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Nonnested Procedures in Econometric Tests of Asset Pricing Theories

The Journal of Financial Research • Vol. XXIII, No. 1 • Pages 103-128 • Spring 2000, Fox School of Business Research Paper
Number of pages: 26 Posted: 17 Jun 2014 Last Revised: 30 Dec 2016
Elyas Elyasiani and Alireza Nasseh
Temple University - Department of Finance and Saint Louis University - Department of Finance
Downloads 30 (873,236)

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Nonnested Procedures in Econometric Tests of Asset Pricing Theories

Posted: 02 Nov 1999
Elyas Elyasiani and Alireza Nasseh
Temple University - Department of Finance and Saint Louis University - Department of Finance

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44.

The Two Product Banking Firm Under Uncertainty

Southern Economic Journal (1983), pp. 1002-1017, Fox School of Business Research Paper
Number of pages: 16 Posted: 17 Jun 2014 Last Revised: 30 Dec 2016
Elyas Elyasiani
Temple University - Department of Finance
Downloads 24 (901,131)
Citation 1

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45.

The Multiproduct Depository Firm, Interest-Bearing Transaction Balances, Interest-Bearing Reserves, and Uncertainty

Bulletin of Economic Research (1984) 36:2, pp. 173-193, Fox School of Business Research Paper
Number of pages: 21 Posted: 17 Jun 2014
Elyas Elyasiani
Temple University - Department of Finance
Downloads 19 (949,270)

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46.

Bank Holding Company Diversification and Production Efficiency

Applied Financial Economics, Vol. 22, 2012, 1409–1428, Fox School of Business Research Paper
Posted: 18 Jun 2014
Elyas Elyasiani and Yong Wang
Temple University - Department of Finance and Western New England University - Department of Accounting and Finance

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bank, diversification, DEA, efficiency

47.

A Comparative Multiproduct Cost Study of Foreign-Owned and Domestic-Owned US Banks

Applied Financial Economics, Vol. 12, 271-284, 2002, Fox School of Business Research Paper
Posted: 18 Jun 2014
Elyas Elyasiani and Rasoul Rezvanian
Temple University - Department of Finance and Northeastern Illinois University

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48.

Mean Aversion and Return Predictability in Currency Futures

Applied Financial Economics, Vol. 12, 2002, 9-18, Fox School of Business Research Paper
Posted: 18 Jun 2014
Tribhuvan Puri, Elyas Elyasiani and Jilleen R. Westbrook
University of Massachusetts Dartmouth - Department of Accounting & Finance, Temple University - Department of Finance and University of Southern California - Marshall School of Business

Abstract:

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49.

Sectoral Stock Return Sensitivity to Oil Price Changes: A Double-Threshold FIGARCH Model

Quantitative Finance, 2013, Vol. 13, No. 4, 593–612, Fox School of Business Research Paper
Posted: 18 Jun 2014 Last Revised: 13 Jan 2024
Elyas Elyasiani, Iqbal Mansur and Babatunde O Odusami
Temple University - Department of Finance, Widener University - School of Business Administration and Widener University - School of Business Administration

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Oil price, Sector returns, Threshold, FIGARCH

50.

Foreign-Owned Insurer Performance in the US Property-Liability Markets

Applied Economics, Vol. 43, 2011
Posted: 18 Jun 2014
Byeongyong Paul Choi and Elyas Elyasiani
Howard University - School of Business - Department of Finance, International Business, and Insurance and Temple University - Department of Finance

Abstract:

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51.

Real-Estate Risk Effects on Financial Institutions' Stock Return Distribution: A Bivariate GARCH Analysis

Journal of Real Estate Finance and Economics, Vol. 40, No. 1, 2010
Posted: 11 Oct 2009
Elyas Elyasiani, Iqbal Mansur and Jill Wetmore
Temple University - Department of Finance, Widener University - School of Business Administration and Saginaw Valley State University - Finance

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financial institutions, real-estate, REITs, bivariate GARCH

52.

The Determinants of Debt Maturity at Issuance: A System-Based Model

Review of Quantitative Finance and Accounting, Vol. 19, pp. 351-377, 2002
Posted: 01 May 2007
Elyas Elyasiani, Lin Guo and Liang Tang
Temple University - Department of Finance, Suffolk University - Sawyer Business School and Mount Ida College - School of Business

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debt maturity, debt issurance, leverage, system-based models

53.

Market Response to Liquidity Improvements: Evidence from Exchange Listings

Financial Review, February 2000
Posted: 01 Feb 2000
Elyas Elyasiani, Shmuel Hauser and Beni Lauterbach
Temple University - Department of Finance, Ben-Gurion University of the Negev - School of Management and Bar-Ilan University - Graduate School of Business Administration

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54.

Economies of Scale and Scope in Small Depository Institutions: Evidence from U.S. Cooperative Banks

QUARTERLY REVIEW OF ECONOMICS AND FINANCE, Vol. 36 No. 1, Spring 1996
Posted: 25 Jun 1998
Seyed Mehdian, Rasoul Rezvanian and Elyas Elyasiani
Ohio State University, Northeastern Illinois University and Temple University - Department of Finance

Abstract:

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Other Papers (1)

Total Downloads: 139
1.

Institutional Investors and Earnings Management by Bank Holding Companies

Journal of Financial Research, Vol 40(2), 2017, 147-178.Summer 2017
Number of pages: 30 Posted: 07 Sep 2012 Last Revised: 31 Oct 2022
Elyas Elyasiani, Yuan Wen and Rongrong Zhang
Temple University - Department of Finance, SUNY New Paltz and Georgia Southern University
Downloads 139 (140,935)

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Bank Holding Companies, Earnings Management, Institutional ownership