Gunter Strobl, Ph.D. - Publications
Affiliations: | 2005 | University of Pennsylvania, Philadelphia, PA, United States |
Area:
FinanceYear | Citation | Score | |||
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2014 | Strobl G. Stock-based managerial compensation, price informativeness, and the incentive to overinvest Journal of Corporate Finance. 29: 594-606. DOI: 10.1016/J.Jcorpfin.2013.12.003 | 0.454 | |||
2013 | Strobl G, Van Wesep ED. Publicizing performance Management Science. 59: 918-932. DOI: 10.1287/Mnsc.1120.1620 | 0.392 | |||
2013 | Goldman E, Strobl G. Large shareholder trading and the complexity of corporate investments Journal of Financial Intermediation. 22: 106-122. DOI: 10.1016/J.Jfi.2011.04.001 | 0.438 | |||
2011 | Garcia D, Strobl G. Relative Wealth Concerns and Complementarities in Information Acquisition Review of Financial Studies. 24: 169-207. DOI: 10.2139/Ssrn.1342787 | 0.36 | |||
2009 | Strobl G. Earnings Manipulation and the Cost of Capital Journal of Accounting Research. 51: 449-473. DOI: 10.2139/Ssrn.1364282 | 0.473 | |||
2002 | Bhattacharya S, Plank M, Strobl G, Zechner J. Bank capital regulation with random audits Journal of Economic Dynamics and Control. 26: 1301-1321. DOI: 10.1016/S0165-1889(01)00045-8 | 0.371 | |||
2001 | Scheicher M, Lehar A, Strobl G. Trade versus time series based volatility forecasts: Evidence from the Austrian stock market Financial Markets and Portfolio Management. 15: 500-515. DOI: 10.1007/S11408-001-0405-7 | 0.388 | |||
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