Iwan Meier
Affiliations: | Finance | HEC Montreal (Canada) |
Area:
Theory Economics, FinanceGoogle:
"Iwan Meier"
BETA: Related publications
See more...
Publications
You can help our author matching system! If you notice any publications incorrectly attributed to this author, please sign in and mark matches as correct or incorrect. |
Drobetz W, Janzen M, Meier I. (2019) Investment and Financing Decisions of Private and Public Firms Journal of Business Finance & Accounting. 46: 225-262 |
Drobetz W, Haller R, Meier I, et al. (2017) The Impact of Liquidity Crises on Cash Flow Sensitivities The Quarterly Review of Economics and Finance. 66: 225-239 |
Jagannathan R, Liberti J, Liu B, et al. (2017) A Firm's Cost of Capital Review of Financial Economics. 9: 259-282 |
Döring S, Drobetz W, Janzen M, et al. (2017) Global cash flow sensitivities Finance Research Letters. 25: 16-22 |
Drobetz W, Haller R, Meier I. (2016) Cash flow sensitivities during normal and crisis times: Evidence from shipping Transportation Research Part a-Policy and Practice. 90: 26-49 |
Jagannathan R, Matsa DA, Meier I, et al. (2016) Why do firms use high discount rates? Journal of Financial Economics. 120: 445-463 |
Karoui A, Meier I. (2015) A note on sorting bias correction in regression-based mutual fund tournament tests Financial Markets and Portfolio Management. 29: 21-29 |
Karoui A, Meier I. (2015) Fund performance and subsequent risk: A study of mutual fund tournaments using holdings-based measures Financial Markets and Portfolio Management. 29: 1-20 |
Bozec Y, Laurin C, Meier I. (2014) The relation between excess control and cost of capital International Journal of Managerial Finance. 10: 93-114 |
Meier I, Bozec Y, Laurin C. (2013) Financial flexibility and the performance during the recent financial crisis International Journal of Commerce and Management. 23: 79-96 |