Raman Kumar

Affiliations: 
Virginia Polytechnic Institute and State University, Blacksburg, VA, United States 
Area:
Finance
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"Raman Kumar"
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Publications

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Rakestraw JR, Kumar R, Maher JJ. (2019) Industry-Average Earnings Management and IPO Pricing Review of Pacific Basin Financial Markets and Policies. 22: 1950023
Chowdhury J, Kumar R, Shome DK. (2016) Investment–cash flow sensitivity under changing information asymmetry Journal of Banking and Finance. 62: 28-40
Celiker U, Kayacetin NV, Kumar R, et al. (2016) Cash flow news, discount rate news, and momentum Journal of Banking and Finance. 72: 240-254
Hur J, Kumar R, Singh V. (2014) Cross-sectional regression of returns on betas and portfolio grouping procedures International Journal of Business and Systems Research. 8: 1-13
Kumar R, Popescu M. (2014) The implied intra-day probability of informed trading Review of Quantitative Finance and Accounting. 42: 357-371
Shan L, Garvin MJ, Kumar R. (2010) Collar options to manage revenue risks in real toll public‐private partnership transportation projects Construction Management and Economics. 28: 1057-1069
Autore DM, Kumar R, Shome DK. (2008) The Revival of Shelf-Registered Corporate Equity Offerings Journal of Corporate Finance. 14: 32-50
Maher JJ, Brown RM, Kumar R. (2008) Firm valuation, abnormal earnings, and mutual funds flow Review of Quantitative Finance and Accounting. 31: 167-189
Chance DM, Kumar R, Rich DR. (2002) European Option Pricing with Discrete Stochastic Dividends Journal of Derivatives. 9: 39-45
Chance DM, Kumar R, Rich D. (2000) Dividend Forecast Biases in Index Option Valuation Review of Derivatives Research. 4: 285-303
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