James W. Kolari

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

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Grobys K, Kolari J. (2020) On Industry Momentum Strategies Journal of Financial Research. 43: 95-119
Kolari JW, López-Iturriaga FJ, Sanz IP. (2020) Measuring Systemic Risk in the U.S. Banking System Economic Modelling. 91: 646-658
Badshah I, Koerniadi H, Kolari J. (2019) The Sarbanes‐Oxley act and informed trading in the options market: Evidence from share repurchase announcements International Review of Finance
Knif J, Kolari JW, Koutmos G, et al. (2019) Measuring the relative return contribution of risk factors Journal of Asset Management. 20: 263-272
Kolari JW, López-Iturriaga FJ, Sanz IP. (2018) Predicting European Bank Stress Tests: Survival of the Fittest Global Finance Journal. 39: 44-57
Dutta A, Knif J, Kolari JW, et al. (2018) A Robust and Powerful Test of Abnormal Stock Returns in Long-Horizon Event Studies Journal of Empirical Finance. 47: 1-24
Kolari J. (2018) Gross and net tax shield valuation Managerial Finance. 44: 854-864
Grobys K, Heinonen J, Kolari J. (2018) Return dispersion risk in FX and global equity markets: Does it explain currency momentum? International Review of Financial Analysis. 56: 264-280
Kolari JW, Sanz IP. (2017) Systemic risk measurement in banking using self-organizing maps Journal of Banking Regulation. 18: 338-358
Anari A, Kolari JW. (2016) Dynamics of interest and inflation rates Journal of Empirical Finance. 39: 129-144
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