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John H. Thornton Jr.
John H. Thornton Jr.
Geverifieerd e-mailadres voor kent.edu
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The volatility and price sensitivities of managerial stock option portfolios and corporate hedging
JD Knopf, J Nam, JH Thornton Jr
The Journal of Finance 57 (2), 801-813, 2002
5382002
The effect of managerial incentives to bear risk on corporate capital structure and R&D investment
J Nam, RE Ottoo, JH Thornton Jr
Financial Review 38 (1), 77-101, 2003
1592003
Robust methods in event studies: Empirical evidence and theoretical implications.
N Sorokina, DE Booth, JH Thornton Jr
Journal of Data Science 11, 2013
1112013
Migration motif: a spatial-temporal pattern mining approach for financial markets
X Du, R Jin, L Ding, VE Lee, JH Thornton Jr
Proceedings of the 15th ACM SIGKDD international conference on knowledge …, 2009
722009
Cubes and the individual investor
RJ Curcio, JM Lipka, JH Thornton
FINANCIAL SERVICES REVIEW-GREENWICH- 13 (2), 123-138, 2004
522004
The effect of agency costs on the value of single-segment and multi-segment firms
J Nam, C Tang, JH Thornton Jr, K Wynne
Journal of corporate finance 12 (4), 761-782, 2006
452006
Long-term stock performance after open-market repurchases in Korea
YG Lee, SC Jung, JH Thornton Jr
Global Finance Journal 16 (2), 191-209, 2005
392005
Dividend policy and corporate valuation
R Hauser, JH Thornton Jr
Managerial Finance 43 (6), 663-678, 2017
362017
Why do banks choose to finance with equity?
NY Sorokina, JH Thornton Jr, A Patel
Journal of Financial Stability 30, 36-52, 2017
342017
Regulatory distortion of management compensation: The case of golden parachutes for bank managers
J Evans, TH Noe, JH Thornton Jr
Journal of Banking & Finance 21 (6), 825-848, 1997
281997
The effect of managerial bonus plans on corporate derivatives usage
YS Kim, J Nam, JH Thornton Jr
Journal of Multinational Financial Management 18 (3), 229-243, 2008
252008
An empirical comparison between operations of stabilization funds and stock repurchases in Korea
SC Jung, YG Lee, JH Thornton Jr
Pacific-Basin Finance Journal 13 (3), 319-341, 2005
232005
Charter values, bailouts and moral hazard in banking
NA Schenck, JH Thornton Jr
Journal of Regulatory Economics 49 (2), 172-202, 2016
192016
Can statistics-based early warning systems detect problem banks before markets?
RK Kimmel, JH Thornton Jr, SE Bennett
The North American Journal of Economics and Finance 37, 190-216, 2016
172016
Unintended regulatory consequences: Evidence from the Korean IPOs
K Chang, YC Kim, YS Kim, JH Thornton Jr
Pacific-Basin Finance Journal 20 (2), 292-309, 2012
152012
An empirical method for assessing the research relevance gap
S Ghosh, MD Troutt, JH Thornton, OF Offodile
European Journal of Operational Research 201 (3), 942-948, 2010
122010
Do Size, Book-to-Market, and Beta Factors Explain Mutual Fund Returns?
RJ Curcio, NA Kyaw, JH Thornton
The Journal of Investing 12 (2), 80-86, 2003
112003
Reactions of equity markets to recent financial reforms
N Sorokina, JH Thornton Jr
Journal of Economics and Business 87, 50-69, 2016
102016
Liquidity and bank capital structure
A Patel, N Sorokina, JH Thornton Jr
Journal of Financial Stability 62, 101038, 2022
72022
THE IMPACT OF REAL ESTATE LENDING ON THRIFTS'FRANCHISE VALUES DURING THE 2007–2009 CRISIS: A COMPARISON WITH COMMERCIAL BANKS
V Salotti, NA Schenck, JH Thornton Jr
Journal of Financial Research 39 (1), 35-62, 2016
42016
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Artikelen 1–20