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Publications

Published and forthcoming work in financial economics, financial accounting, corporate finance, banking, sustainability, and financial markets.

Published & forthcoming

44 publications
01

The Role of Sentiment in Credit Rating: Natural Language Processing Machine Learning Approach

Contemporary Challenges in Finance and Accounting (Springer Proceedings in Business and Economics)
02

COVID-19 and Disruptions in the Flow of Trade Credit Along the Supply Chains

Financial Management
03

The Ethical Role of Pro-Equality Laws in Reducing Executive Gender Pay Gaps under Cultural Resistance

Journal of Business Ethics
04

FOMC Meetings, Monetary Policy Uncertainty, and Mutual Fund Alpha

Financial Markets, Institutions and Instruments
05

Import Competition and Stock Price Crash Risk

Journal of Financial Research
06

Financial Uncertainty and Cross-Section of Cryptocurrency Returns

Journal of Banking & Finance
07

Social Capital, Corporate Reporting Culture, and Accounting Conservatism

Journal of International Accounting, Auditing and Taxation
08

Idiosyncratic Political Risk and Bad News Hoarding

The Financial Review
09

Corporate Agility and Monetary Policy Transmission

Journal of Corporate Finance
10

Political Sentiment and Abnormal Accruals

Applied Economics
11

Twitter-based Economic Uncertainty and Corporate Bond Credit Spreads

Finance Research Letters
12

The Impact of Margin Trading and Regulatory Policy on IPO Underpricing: Evidence from Turkiye

Borsa Istanbul Review
13

The Effects of Government Debt on Corporate Borrowing in Developing Economies: Evidence from Africa

Journal of International Business Studies
14

Systemic Risk and Oil Price Volatility Shocks

Journal of Financial Stability
15

Predicting IPO First-day Returns: Evidence from Machine Learning Analyses

Journal of Banking & Finance
16

Climate Change Denial and Corporate Environmental Responsibility

Journal of Business Ethics
17

Gold, Platinum, and Mutual Fund Flows

Journal of Empirical Finance
18

The Timing of Voluntary Delisting

Journal of Financial Economics
19

ESG and CEO Turnover Around the World

Journal of Corporate Finance
20

Lean Against the Wind: The Effect of Policy Uncertainty on Firm's Corporate Social Responsibility Strategy

Journal of Corporate Finance
21

Easy Clean-ups or Forbearing Improvements: The Effect of CEO Tenure on Successor's Performance

Journal of Financial Stability
22

ESG Issues and Career Prospects of Directors: Evidence from the International Director Labor Market

Financial Markets, Institutions and Instruments
23

Foreign Direct Investment and Economic Policy Uncertainty in China

Economic and Political Studies
25

Commitment or Constraint? The Effect of Loan Covenants on Mergers and Acquisition Activity

Finance Research Letters
26

Economic Uncertainty and Corruption: Evidence from Public and Private Firms

Journal of Financial Stability
27

The Impact of COVID-19 Pandemic on Bank Lending Around the World

Journal of Banking & Finance
28

Managerial Incentives and IPO Failure Risk

Journal of Banking & Finance
29

CEO Mobility and Corporate Policy Risk

Journal of Corporate Finance
30

Political Power, Local Policy Uncertainty, and IPO Pricing

Journal of Corporate Finance
31

Investor Relations and IPO Performance

Review of Accounting Studies
32

Why Are Some Chinese Firms Failing in the U.S. Capital Markets? A Machine Learning Approach

Pacific-Basin Finance Journal
33

Global Leverage Adjustments, Uncertainty, and Country Institutional Strength

Journal of Financial Intermediation
34

Political Uncertainty and IPO Activity: Evidence from U.S. Gubernatorial Elections

Journal of Financial and Quantitative Analysis
35

Political Environment, Financial Intermediation Costs, and Financing Patterns

Journal of Corporate Finance
36

Decoupling by Clienteles and by Time in the Financial Markets: The Case of Two-Stage Stock-Financed Mergers

Journal of Corporate Finance
37

Executive Compensation Structure and the Motivations for Seasoned Equity Offerings

Journal of Banking & Finance
38

Changes in Cash Holdings Around the S&P 500 Additions

Journal of Banking & Finance
40

Primary Market Characteristics and Secondary Market Frictions of Stocks

Journal of Financial Markets
41

Strategic Waiting in the IPO Markets

Journal of Corporate Finance
42

Diversification, Refocusing, and Firm Value

European Financial Management
43

Cycles in the IPO Market

Journal of Financial Economics
44

Spin-offs, Divestitures, and Conglomerate Investment

Review of Financial Studies