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  • Search: person:"Marciniak, Marek"
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Year of publication
Subject
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Financial crisis 5 Finanzkrise 4 Börsenkurs 2 Cross-border acquisitions 2 Dual listing 2 EU countries 2 EU-Staaten 2 Economic crisis 2 Illegal insider trading 2 Informed trading 2 Insider trading 2 Insider trading regulation 2 Insider trading sanctions 2 Insiderhandel 2 Share price 2 Takeover 2 USA 2 United States 2 Volatility 2 Volatilität 2 Wirtschaftskrise 2 Zweitlisting 2 Übernahme 2 2005-2008 1 2005-2009 1 Accounting performance 1 Agency theory 1 Aktienindex 1 Aktionäre 1 Ankündigungseffekt 1 Announcement effect 1 Asymmetric information 1 Asymmetrische Information 1 Ausschüttungspolitik 1 Bank accounting 1 Bank capital 1 Bank exposure 1 Bank risk 1 Bankrechnungslegung 1 Beta risk 1
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Online availability
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Undetermined 6 Free 1
Type of publication
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Article 19 Book / Working Paper 1
Type of publication (narrower categories)
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Article in journal 8 Aufsatz in Zeitschrift 8
Language
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English 11 Undetermined 9
Author
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Marciniak, Marek 19 Madura, Jeff 12 Davis, Sean 5 Akhigbe, Aigbe 3 Chira, Inga 2 Drummond Smith, Deborah 1 Marciniak, Marek R. 1 Pennathur, Anita K. 1 Smith, Deborah Drummond 1
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Published in...
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Bank i kredyt 2 Journal of economics & business 2 Applied Financial Economics 1 Applied financial economics 1 Institutional investor 1 International review of financial analysis 1 Journal of Economics and Business 1 Journal of Economics and Finance 1 Journal of International Financial Markets, Institutions and Money 1 Journal of economics and business 1 Journal of economics and finance 1 Journal of international financial markets, institutions & money 1 The Journal of Risk Finance 1 The journal of derivatives : the official publication of the International Association of Financial Engineers 1 The journal of fixed income 1 The journal of investing 1 The journal of portfolio management : a publication of Institutional Investor 1
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Source
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ECONIS (ZBW) 9 OLC EcoSci 6 RePEc 4 Other ZBW resources 1
Showing 1 - 10 of 20
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Risk Change During Crises : How Do Purely Local Companies Differ from Cross-Listed Firms? Evidence from the European Crisis of 2010-2012
Chira, Inga - 2014
The 2010-2012 Greek crisis that spread to Portugal, Spain, Italy, and Ireland led to a significant risk increase both in terms of systematic and total risk for the firms operating in the five weakest economies of the European Union. A comparison of the risk profile change in the strictly EU...
Persistent link: https://www.econbiz.de/10013055879
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Does market response to S&P additions reflect adjustment for risk?
Marciniak, Marek; Smith, Deborah Drummond - In: The Journal of Risk Finance 19 (2018) 5, pp. 437-453
Purpose: The purpose of this study is to investigate the value investors place on S&P index additions relative to uncertainty surrounding the firm and the market. Investors look for reassuring signals or tell-tale signs around uncertainty. Design/methodology/approach: Variation in the market...
Persistent link: https://www.econbiz.de/10012076957
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Why do CEOs agree to the discipline of dividends?
Drummond Smith, Deborah; Pennathur, Anita K.; … - In: International review of financial analysis 52 (2017), pp. 38-48
Persistent link: https://www.econbiz.de/10011868695
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Bidder country characteristics and informed trading in U.S. targets
Madura, Jeff; Marciniak, Marek - In: Journal of International Financial Markets, … 29 (2014) C, pp. 256-284
Information leakages experienced by U.S. targets in the pre-bid period are especially pronounced when they involve foreign bidders whose countries have weak insider trading sanctions, are perceived to have prevalent insider trading activity, have a low level of local merger activity, and are not...
Persistent link: https://www.econbiz.de/10010743662
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Bidder country characteristics and informed trading in US targets
Madura, Jeff; Marciniak, Marek - In: Journal of international financial markets, … 29 (2014), pp. 256-284
Persistent link: https://www.econbiz.de/10010412147
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Risk change during crises : how do purely local companies differ from cross-listed firms? ; evidence from the European crisis of 2010 - 2012
Chira, Inga; Marciniak, Marek - In: Journal of economics & business 74 (2014), pp. 11-23
Persistent link: https://www.econbiz.de/10010421613
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Characteristics of takeover targets that trigger insider trading investigations
Madura, Jeff; Marciniak, Marek - In: Applied financial economics 24 (2014) 1/3, pp. 1-18
Persistent link: https://www.econbiz.de/10010389551
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Characteristics of takeover targets that trigger insider trading investigations
Madura, Jeff; Marciniak, Marek - In: Applied Financial Economics 24 (2014) 1, pp. 1-18
We assess trading and non-trading characteristics of takeovers that trigger Securities and Exchange Commission (SEC) investigations of illegal insider trading. We find that targets with more pronounced abnormal stock price run-ups (especially in long pre-bid windows) and abnormal trading volume...
Persistent link: https://www.econbiz.de/10010760564
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Information effects of announced stock index additions: evidence from S&P 400
Marciniak, Marek - In: Journal of Economics and Finance 36 (2012) 4, pp. 822-849
The study examines the information content of press announcements of S&P 400 additions between 2002 and 2007. Prior research into stock index additions has explained the positive valuation effects of additions to S&P indices mostly in terms of the price pressure hypothesis and downward sloping...
Persistent link: https://www.econbiz.de/10010998963
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Bank capital and exposure to the financial crisis
Akhigbe, Aigbe; Madura, Jeff; Marciniak, Marek - In: Journal of Economics and Business 64 (2012) 5, pp. 377-392
We find that banks with more capital experienced more severe stock price declines during the recent financial crisis. We also find that banks with more capital experienced higher betas and stock volatility levels during the financial crisis. These results support the capital signaling...
Persistent link: https://www.econbiz.de/10010580947
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