Sorin M. Sorescu

Affiliations: 
Texas A & M University, College Station, TX, United States 
Area:
Finance, Management Business Administration
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"Sorin Sorescu"
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Publications

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Sorescu A, Sorescu SM, Armstrong WJ, et al. (2018) Two Centuries of Innovations and Stock Market Bubbles Marketing Science. 37: 507-529
Akbas F, Boehmer E, Erturk B, et al. (2017) Short Interest, Returns, and Unfavorable Fundamental Information Financial Management. 46: 455-486
Akbas F, Armstrong WJ, Sorescu SM, et al. (2016) Capital Market Efficiency and Arbitrage Efficacy Journal of Financial and Quantitative Analysis. 51: 387-413
Sorescu A, Sorescu SM. (2016) Customer Satisfaction and Long-Term Stock Returns. Journal of Marketing. 80: 110-115
Akbas F, Armstrong WJ, Sorescu SM, et al. (2015) Smart Money, Dumb Money, and Capital Market Anomalies Journal of Financial Economics. 118: 355-382
Johnson SA, Moorman TC, Sorescu SM. (2009) A Reexamination of Corporate Governance and Equity Prices Review of Financial Studies. 22: 4753-4786
Boehme RD, Danielsen BR, Kumar P, et al. (2009) Idiosyncratic Risk and the Cross-Section of Stock Returns: Merton (1987) Meets Miller (1977) Journal of Financial Markets. 12: 438-468
Kolari JW, Moorman TC, Sorescu SM. (2008) Foreign Exchange Risk and the Cross-Section of Stock Returns Journal of International Money and Finance. 27: 1074-1097
Kumar P, Sorescu SM, Boehme RD, et al. (2008) Estimation Risk, Information, and the Conditional CAPM: Theory and Evidence Review of Financial Studies. 21: 1037-1075
Sorescu S, Subrahmanyam A. (2006) The Cross Section of Analyst Recommendations Journal of Financial and Quantitative Analysis. 41: 139-168
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