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I. Chira, Bad News and Bank Performance during the 2008 Financial Crisis, Applied Financial Economics, vol. 24, no. 18, pp. 1-12, 2014.
I. Chira, Risk Change during Crises: How do Purely Local Companies Differ from Cross-listed Firms? Evidence from the European Crisis of 2010-2012, Journal of Economics and Business, 2014.
I. Chira, Special Dividend Distributions, Firm Characteristics, and Economic Conditions, Journal of Applied Finance: theory, practice, education, 2014.
I. Chira, Madura, I., and Viale, A., Bank Exposure to Market Fear, Journal of Financial Stability, vol. 9, no. 4, pp. 451-459, 2013.
I. Chira and Madura, J., Impact of the Galleon Case on Informed Trading Before Merger Announcements, Journal of Financial Research, vol. 36, no. 3, pp. 325-347, 2013.
I. Chira, The Impact of Governance Characteristics on the Stock Price of Cross Listed Companies, Journal of Economics and Finance, 2013.
I. Chira, Chiang, E., and Houmes, R., Can Undergraduate Students Make Optimal Decisions about Student Loans?, Journal of Economics and Finance Education, vol. 11, no. 1, pp. 1-14, 2011.