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Finance

Publications in Refereed Journals

Academic Journals

Research papers of finance faculty have been published in refereed academic journals which have national and international prominence.

2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | 2010 | 2009 | 2008


2017

Karagozoglu, A. K., Fabozzi, F. J. (2017). Volatility Wisdom of Social Media Crowds. Journal of Portfolio Management, Winter 2017, v.43, n.2, 136-151.

Nikbakht, E., Sarkar, S., Spieler, A. C. (2017). External Monitoring of Private Firms: A Cross Country Empirical Analysis. Global Finance Journal, 32, 113-127.

Outlaw, D. G., Outlaw, J. A. (2017). Do financial advisers follow their own advice? Evidence from 2008-2011. Journal of Personal Finance, 16(1), 40-50.                                               

Evans, J., Outlaw, D.G. (2017).  Why trade credit financing is more important than developing large customer relationships for video game suppliers, Journal of Entrepreneurial Finance, 19.

Devos, E., Devos, E., Ong, S. E., Spieler, A. C. (2017). “Are REIT Investors Overly Optimistic after Equity Offerings?:  Evidence from Analyst Forecast Errors”. Journal of Real Estate Finance and Economics. (forthcoming)

Wang, N., Ahn, S., Horenstein, A. Beta Matrix and Common Factors in Stock Returns. Journal of Financial and Quantitative Analysis.  (forthcoming)

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2016

Karagozoglu, A. K., Alan, N. S., Korkmaz, S., (2016) "Growing pains: The evolution of new stock index futures in emerging markets", Research in International Business and Finance, 37, 1-16.

Karagozoglu, A. K., Fabozzi, F. J., Wang, N. (2016). Effects of Short-Sale Constraints and Information Asymmetry on Index Futures Trading. Review of Finance.  (forthcoming)

Karagozoglu, A. K., Jacobs, M., Layish, D. N. (2016). Credit Risk Signals in CDS Market vs. Agency Ratings. The Journal of Risk Finance, 17(2), 194-217.

Nikbakht, E., Shahrokhi, M., Spieler, A. C. (2016). An International Perspective of Volatility Spillover Effect: The Case of REITs. International Journal of Business, 21(4), 283-300.

Gehy, D., Smith, A.H. (2016). “Ready to work” graduates: Enhancing the value of Bloomberg in a university finance curriculum, Journal of Economics and Finance Education, 15, 68-82.

Devos, E., Devos, E., Ong, S.-E., Spieler, A. C. (2016). “Who Follows REITs?” Journal of Real Estate Research, 38(1), 129-163.

Wang, N., Smith, D. M., Wang, Y., Zychowicz, E. J. (2016). Sentiment and the Effectiveness of Technical Analysis: Evidence from the Hedge Fund Industry. Journal of Financial and Quantitative Analysis, 51(6), 1991-2013.

Wang, N., Zychowicz, E. J., Feng, S. “Sentiment and the Performance of Technical Indicators.”  Journal of Portfolio Management, Vol 43, Number 3, 112-125

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2015

Bishnoi, R. K., Yichi Zhang, (2015) "A Case Study for India's Future Alliances", International Journal of Human Potential Development, Vol.1, No. 2.

Karagozoglu, A. K., Jacobs, M., Sensenbrenner, F. J., (2015) "Stress Testing and Model Validation: Application of the Bayesian Approach to a Credit Risk Portfolio", The Journal of Risk Model Validation, 9(3), 1-29.

Wang, N. and Shao, R. (2015) Effects of Aging on Gender Differences in Financial Markets. Economics Bulletin, 35(1), 834-840.

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2014

Bishnoi, R. K., J. L. (2014), "An empirical analysis of factors affecting gold prices". International Journal of Human Potential Development, Vol. 3, No.2, July- December 2014.

A. Rai, G. Papaioannou and S. Cebenoyan, "Impact of Regulation on Competition in Commercial and Investment Banking," forthcoming in Companion to Financial Services Marketing (Eds) Tina Harrison and Hooman Estelani, Routledge.

Karagozoglu, A. K., Jacobs, M. (2014). On the Characteristics of Dynamic Correlations between Asset Pairs. Research in International Business and Finance, 32(August), 60-82.

Karagozoglu, A. K., Inanoglu, H., Jacobs, M. (2014). Impact of New Regulation on Bank Capital: Analysis of Incremental Risk Charge for Trading Portfolios. Journal of Fixed Income, 23(4), 71-88.

Papaioannou, G. (2014). Cost of Capital and Valuation: Applications with Finite Cash Flows, forthcoming in the Journal of Financial Education.

Papaioannou, G., Rai, A., & Cebenoyan, A. S. (2014). Impact of Regulation on Competition in Commercial and Investment Banking. In Tina Harrison and Hooman Estelani (Ed.), Companion to Financial Services Marketing, (N/A ed., vol. N/A). Routledge.

Devos, E., Spieler, A. C., Tsang, D. (2014). "Elective Stock Dividends and REITs: Evidence from REIT Dividend Policy during the Financial Crisis". Real Estate Economics, 42(1).

Harrison Hong, Wenxi Jiang, Na Wang, Bin Zhao (2014). Trading for Status. Review of Financial Studies Volume 27 Number 11.

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2013

Bishnoi, R. K. (2013). India's Relative Prospects for Global Development through FDI. International Journal of Human Potential Development, 2(2). Vol. 2, No. 2, July- December 2013.

Gehy, D. (2013). Changing the rules again: Short selling in connection with public equity offers. Journal of Banking and Finance, Vol. 37, No. 6.

Ong, S. E., Petrova, M., Spieler, A. C. (2013). Demand for University Student Housing: An Empirical Analysis. Journal of Housing Research, 22(2), 141-164.

Devos, E., Ong, S. E., Spieler, A. C., Tsang, D. (2013). REIT Institutional Ownership Dynamics and the Financial Crisis. Journal of Real Estate Finance and Economics, Vol. 47.

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2012

Bishnoi, R. K. (2012). Credit Default Swaps to help Individual Potential Development in India. International Journal of Human Potential Development.

Karagozoglu, A. K., Jacobs, M., Layish, D. N. (2012). Resolution of Corporate Financial Distress: An Empirical Analysis of Processes and Outcomes. Journal of Portfolio Management, 38(2), 117-135.

Wang, N., Li, D. (2012). Impact of the Securities Transaction Tax on Stock Markets. The Chinese Economy, 45(05), 26-49.

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2011


Bishnoi, R. K. (2011). Analyzing the Future after the Global Financial Meltdown. Euro-Mediterranean Economics and Finance Review, 6(1st quarter 2011).

Campbell, R. D., Feng, Z., Frank, L. (2011). Corporate Exit Strategy: Evidence from REITs. Financial Decisions (Special Edition, Summer 2011), 1-21.

Campbell, R. D. (2011). Corporate Governance and Performance in the Market for Corporate Control: The Case of REITs. Journal of Real Estate Finance and Economics, 42(4), 451-480.

Karagozoglu, A. K., Jacobs, M. (2011). Modeling Ultimate Loss-Given-Default on Corporate Debt”, Journal of Fixed Income, 21(1), 6-20.

Karagozoglu, A. K. (2011). Direct Market Access in Exchange-Traded Derivatives: Effects of Algorithmic Trading on Liquidity in Futures Markets. Review of Futures Markets, 19(Special Issue, Summer), 95-142.

Kim, W. S., T. H. K., S. M. C. (2011). Restrictions on cross-shareholdings and managerial reactions. Restrictions on Cross-Shareholdings and Managerial Reactions, 12(2), 13.

Nikbakht, E. (2011). Performance of Real Estate Investment and Spillover Effects of Financial Markets, 2000-2009. Financial Decisions, 23(2), 1-11.

Papaioannou, G. (2011). “Competing for underwriting market share: The case of commercial banks and securities firms”. Journal of Financial Services Marketing, 16(2), 153-169.

Miller, J., Rosenburgh, M., Spieler, A. C. (2011). “Target Date Funds: Can One Just Glide Into Retirement? “Target Date Funds: Can One Just Glide Into Retirement?” -Journal of International Business and Law.

Devos, E., Prevost, A., Spieler, A. C., Tse, Y. (2011). “The Determinants of More Frequent Disclosure: The Case of Issuing Monthly Sales Reports by Retail Firms” - Advances in Quantitative Analysis of Finance and Accounting.

Viswanathan, K. G., Shah, R. (2011). The Performance of Cross-Listed Firms from Developing Countries: Evidence from 'BRIC' Cross-listings in the US. AIMS International Journal of Management, 5(1), 1-20.

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2010

Kim, W. S., I. J. K., J.-K., S. J. B. (2010). Foreign investors and corporate governance in Korea. “Foreign investors and corporate governance in Korea, Vol. 18, (No. 4 September 2010), pp. 390-402.

Ong, S.-E., Petrova, M., Spieler, A. C. (2010). "Shareholder Activism and Director Retirement Plans Repeals". Shareholder Activism and Director Retirement Plans Repeals, 7.

DeFeo, R. A., Nikbakht, E., Spieler, A. C. (2010). "Corporate Governance and Use of EVA Compensation". Corporate Governance and Use of EVA Compensation, 8(1), 37-48.

Zychowicz, E. J., Lyn, E. O. (2010). The Impact of Faith-based Screens on Investment Performance Journal of Investing.

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2009

Campbell, R. D., Giambona, E., Sirmans, C. F. (2009). The Long-Horizon Performance of REIT Mergers. Journal of Real Estate Finance and Economics.

Campbell, R. D., Jirasakuldech, B., Emekter, R. (2009). Conditional Volatility of Equity Real Estate Investment Trust Returns: A Pre- and Post-1993 Comparison. Journal of Real Estate Finance and Economics, 38, 137-154.

Cebenoyan, F., Cebenoyan, A. S. (2009). Market Discipline in Banking: Evidence from U.S. Bank Holding Companies. International Review of Accounting, Banking and Finance, 1(2), 1-17.

Kim, W. S. (2009). Stock valuation and accounting performance effects of financially troubled banks acquired by foreign investors,” Journal of International Business and Economics.
Journal Article, Professional Journal (Published)

Nikbakht, E. (2009). Black–Litterman’s Incorporation of Analysts’ Views Both Helps and Hinders Portfolio Optimization. The Investment Professional, 2(3), 32-34.

Papaioannou, G., Leledakis, G., Travlos, N., Tsagarakis, N. (2009). Stock splits in a neutral transaction cost environment: Evidence from the Athens Stock Exchange. Journal of Multinational Financial Management, 19(1), 12-25.

Papaioannou, G. (2009). The market structure effects of commercial bank entry into domestic underwritings: Evidence from the league tables. Journal of Financial Services Marketing, 13(4), 300-317.

Papaioannou, G., Viswanathan, K. G. (2009). Visibility Effects and Timing in Stock Listing Changes: Evidence from Operating Performance. The Quarterly Review of Economics and Finance, 49(2), 357-377.

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2008

Campbell, R. D., Devos, E., Maxam, C. L., Spieler, A. C. (2008). "Investment, Liquidity and Private Debt: The Case of REIT Credit Facilities". Investment, Liquidity and Private Debt: The Case of REIT Credit Facilities, 14(3).

Campbell, R. D., Devos, E., Spieler, A. A. (2008). The Information Content of Equity REIT Bank Credit Facility Announcements. Journal of Real Estate Portfolio Management, 14(1).

Cebenoyan, A. S., Cebenoyan, F., Cooperman, E. S. (2008). Regulatory Regime Changes and Acquisition Attributes: The Case of Commercial Bank and Thrift Acquisitions of Thrifts. Quarterly Journal of Finance and Accounting, 47(1), 27-52.

Karagozoglu, A. K., Ciner, C. (2008). Information Asymmetry, Speculation and Foreign Trading Activity: Emerging Market Evidence. International Review of Financial Analysis, 17(4), 664–680.

Campbell, R. D., Devos, E., Spieler, A. C. (2008). “The Information Content of Equity REIT Bank Credit Facility Announcements” (lead article). “The Information Content of Equity REIT Bank Credit Facility Announcements”, 14(1).

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Books and Book Chapters

2015 | 2014 | 2013 | 2012 | 2011 | 2010 | 2009 | 2008


2015

Papaioannou, G., Rai, A., & Cebenoyan, A. S. (2015). Impact of Regulation on Competition in Commercial and Investment Banking. In Tina Harrison and Hooman Estelani (Ed.), Companion to Financial Services Marketing, (N/A ed., vol. N/A). Routledge.

Devos, E., Spieler, A. C., & Tenaglia, J. Chapter 8: Portfolio Managers (Money Managers, Mutual Fund Managers). Financial Behavior − Players, Services, Products, and Markets, Oxford University Press.

MILLIKEN, C., Nikbakht, E., & Spieler, A. C. Chapter 22: Traditional Asset Allocation Securities: Stocks, Bonds, and Cash. Financial Behavior − Players, Services, Products, and Markets, Oxford University Press.

Aguilar, B., Bianco, M., Milliken, C., & Spieler, A. C. (2015) Chapter 10: Leveraged and Inverse ETFs". Mutual Funds and Exchange Traded Funds, Oxford Press.

Nikbakht, E., Pareti, K., & Spieler, A. C. (2015). Chapter 9: ETFs, Mutual Funds and Exchange-Traded Funds. Mutual Funds and Exchange-Traded Funds, Oxford University Press.

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2014

Nikbakht, E., Spieler, A. C., & Smith, G. (2014) Chapter 14 REITS: International Dimensions. Real Estate ‒ Markets and Investment Opportunities (editors: Baker & Chinmoy), Oxford University Press.

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2013

Neelankavil, J. P., Rai, A. (2013). Basics of International Business, 2nd Ed.. New York, NY: Sheron Enterprises Inc.

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2012

Nikbakht, E., Groppelli, A. (2012). Finance, Sixth Edition (6th Edition ed.). New York: Book; Barrons.

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2011

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2010

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2009

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