gabriel hawawini : Citation Profile


Are you gabriel hawawini?

INSEAD

12

H index

15

i10 index

580

Citations

RESEARCH PRODUCTION:

28

Articles

26

Papers

1

Books

9

Chapters

RESEARCH ACTIVITY:

   38 years (1978 - 2016). See details.
   Cites by year: 15
   Journals where gabriel hawawini has often published
   Relations with other researchers
   Recent citing documents: 17.    Total self citations: 9 (1.53 %)

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   Permalink: http://citec.repec.org/pha326
   Updated: 2024-12-03    RAS profile: 2021-03-22    
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Relations with other researchers


Works with:

Authors registered in RePEc who have co-authored more than one work in the last five years with gabriel hawawini.

Is cited by:

Conlon, Thomas (21)

cotter, john (21)

Chang, Chia-Lin (9)

Lo, Andrew (7)

Hsu, Hui-Kuang (6)

Masih, Abul (5)

Han, Chirok (4)

faff, robert (4)

Olbrys, Joanna (4)

Vaihekoski, Mika (4)

Chun, Sungju (4)

Cites to:

Rogoff, Kenneth (5)

Obstfeld, Maurice (5)

French, Kenneth (2)

Poterba, James (2)

Coakley, Jerry (1)

Schmalensee, Richard (1)

Leland, Hayne (1)

Horioka, Charles (1)

Lewis, Karen (1)

Bernanke, Ben (1)

Krugman, Paul (1)

Main data


Where gabriel hawawini has published?


Journals with more than one article published# docs
Economics Letters6
Journal of Financial and Quantitative Analysis3
Journal of Banking & Finance3
Strategic Management Journal2
Journal of Financial Research2
Journal of Finance2
Annals of Public and Cooperative Economics2

Working Papers Series with more than one paper published# docs
MPRA Paper / University Library of Munich, Germany12
ULB Institutional Repository / ULB -- Universite Libre de Bruxelles2

Recent works citing gabriel hawawini (2024 and 2023)


YearTitle of citing document
2023Sektorowe zró?nicowanie efektu interwa?u akcji spó?ek z GPW w dobie pandemii COVID-19. (2023). Lisicki, Bartomiej. In: Ekonomista. RePEc:aoq:ekonom:y:2023:i:2:p:174-194.

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2023The Complexity of Corporate Culture as a Potential Source of Firm Profit Differentials. (2023). Roos, Michael ; Reale, Jessica ; Banning, Frederik. In: Papers. RePEc:arx:papers:2305.14029.

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2023Realized semibetas and international stock return predictability. (2023). Perez, Fernando ; Herrerias, Renata ; Amaya, Diego ; Vasquez, Aurelio. In: Finance Research Letters. RePEc:eee:finlet:v:58:y:2023:i:pc:s1544612323010139.

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2023Retailers’ foreign market exits over time: A strategic management perspective. (2023). Morschett, Dirk ; Schmid, David. In: International Business Review. RePEc:eee:iburev:v:32:y:2023:i:5:s0969593123000641.

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2023Competition and banking efficiency in the WAEMU: The role of multinationals and institutions. (2023). Couchoro, Mawuli Kodjovi ; Aguey, Segnon ; Nantob, N'Yilimon ; Kuessi, Richard. In: International Economics. RePEc:eee:inteco:v:175:y:2023:i:c:p:45-62.

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2023Five dimensions of business model innovation: A multi-case exploration of industrial incumbent firm’s business model transformations. (2023). Costa, Ricardo Climent ; Haftor, Darek M. In: Journal of Business Research. RePEc:eee:jbrese:v:154:y:2023:i:c:s0148296322008177.

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2023Competitive advantage and firm, industry, and country effects: An asset pricing perspective. (2023). Regele, Tobias ; Mager, Ferdinand ; Kohls, Tobias. In: Journal of Economics and Business. RePEc:eee:jebusi:v:127:y:2023:i:c:s0148619523000309.

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2023What drives shareholder returns in mining companies?. (2023). von Nordenflycht, Andrew ; Steen, John ; Gillis, Andrew ; Dunbar, Scott W. In: Resources Policy. RePEc:eee:jrpoli:v:86:y:2023:i:pa:s0301420723009285.

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2023How much does host country matter, really?. (2023). Meyer, Klaus E ; Andrews, Daniel S. In: Journal of World Business. RePEc:eee:worbus:v:58:y:2023:i:2:s1090951622001043.

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2023Tracking ‘Pure’ Systematic Risk with Realized Betas for Bitcoin and Ethereum. (2023). Sanhaji, Bilel ; Chevallier, Julien. In: Econometrics. RePEc:gam:jecnmx:v:11:y:2023:i:3:p:19-:d:1214066.

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2023Sustaining Construction Organisations in NZ: A Linear Regression Model Approach to Analysing Determinants of Their Performance. (2023). Tookey, John ; Bamidele, James Olabode ; Oyewobi, Luqman Oyekunle ; Poshdar, Mani ; Alqudah, Hamzah E. In: Sustainability. RePEc:gam:jsusta:v:15:y:2023:i:5:p:4143-:d:1079613.

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2023Beta estimation in the European network regulation context: what matters, what doesn’t, and what is indispensable. (2023). Stehle, Richard ; Betzer, Andre ; Bazhutov, Dmitry. In: Financial Markets and Portfolio Management. RePEc:kap:fmktpm:v:37:y:2023:i:3:d:10.1007_s11408-023-00428-z.

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2023Co-Skewness across Return Horizons*. (2023). Conlon, Thomas ; cotter, john ; Jin, Chenglu. In: Journal of Financial Econometrics. RePEc:oup:jfinec:v:21:y:2023:i:5:p:1483-1518..

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2023Volatility linkages and value gains from diversifying with Islamic assets. (2023). Jahromi, Maria ; Akhtar, Shumi ; John, Kose. In: Journal of International Business Studies. RePEc:pal:jintbs:v:54:y:2023:i:8:d:10.1057_s41267-023-00641-y.

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2023The effect of nonfinancial performance measures, absorptive capacity, and organizational learning on innovation performance. (2023). Wang, Zhichao Alex ; Sands, John ; Mia, Lokman ; Chong, Vincent K. In: Journal of Management Control: Zeitschrift für Planung und Unternehmenssteuerung. RePEc:spr:jmgtco:v:34:y:2023:i:2:d:10.1007_s00187-023-00355-0.

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2023Asset?light strategy, managerial ability, and corporate performance of the Asian telecommunications industry. (2020). Kao, Huiru ; Kiong, Irene Wei ; Lu, Wenmin ; Wang, Weikang. In: Managerial and Decision Economics. RePEc:wly:mgtdec:v:41:y:2020:i:8:p:1568-1579.

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Works by gabriel hawawini:


YearTitleTypeCited
1979THEORY OF THE RISK AVERSE PRODUCER COOPERATIVE FIRM FACING UNCERTAIN DEMAND In: Annals of Public and Cooperative Economics.
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article2
1980LABOR-MANAGED ENTERPRISE AND UNCERTAINTY In: Annals of Public and Cooperative Economics.
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article0
1993MYTHS AND REALITIES OF THE GLOBAL CAPITAL MARKET: LESSONS FOR FINANCIAL MANAGERS In: Journal of Applied Corporate Finance.
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article0
1982 Yield Approximations: A Historical Perspective. In: Journal of Finance.
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article1
1987 Seasonality in the Risk-Return Relationship: Some International Evidence. In: Journal of Finance.
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article23
1980The Intertemporal Cross Price Behavior of Common Stocks: Evidence and Implications In: Journal of Financial Research.
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article2
1980The intertemporal cross-price behavior of common stocks: Evidence and impications.(1980) In: MPRA Paper.
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This paper has nother version. Agregated cites: 2
paper
1982INVESTMENT HORIZON, DIVERSIFICATION, AND THE EFFICIENCY OF ALTERNATIVE BETA FORECASTS In: Journal of Financial Research.
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article0
2003Is performance driven by industry‐or firm‐specific factors? A new look at the evidence In: Strategic Management Journal.
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article154
2003Is performance driven by industry- or firm-specific factors? A new look at the evidence.(2003) In: ULB Institutional Repository.
[Citation analysis]
This paper has nother version. Agregated cites: 154
paper
2005Is performance driven by industry‐ or firm‐specific factors? A reply to McNamara, Aime, and Vaaler In: Strategic Management Journal.
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article12
1980Intertemporal Cross-Dependence in Securities Daily Returns and the Short-Run Intervaling Effect on Systematic Risk In: Journal of Financial and Quantitative Analysis.
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article18
1980Evidence of Intertemporal Systematic Risks in the Dailty Price Movements of NYSE and AMEX Common Stocks In: Journal of Financial and Quantitative Analysis.
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article0
1980An Analytical Examination of the Intervaling Effect on Skewness and Other Moments In: Journal of Financial and Quantitative Analysis.
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article12
1983Temporal aggregation and the strength of the association between securities risk and return In: Economics Letters.
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article0
1984On the relationship between Macaulays bond duration and the term to maturity In: Economics Letters.
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article0
1978A note on temporal aggregation and serial correlation In: Economics Letters.
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article1
1979The time-covariance function : Properties and application In: Economics Letters.
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article0
1980Multiple variable factors, demand uncertainty, and the cooperative firm In: Economics Letters.
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article0
1980Temporal aggregation and the estimation of the market price of risk In: Economics Letters.
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article0
1994Equity price behavior: Some evidence from markets around the world In: Journal of Banking & Finance.
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article6
1982The pricing of risky assets on the Belgian stock market In: Journal of Banking & Finance.
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article1
1985New evidence on beta stationarity and forecast for belgian common stocks In: Journal of Banking & Finance.
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article1
1983The effect of production uncertainty on the labor-managed firm In: Journal of Comparative Economics.
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article1
1986The geometry of risk aversion: A Pedagogic note In: Journal of Economics and Business.
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article0
1983Friction in the trading process and the estimation of systematic risk In: Journal of Financial Economics.
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article105
2004The home country in the age of globalization: how much does it matter for firm performance? In: Journal of World Business.
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article30
2004The home country in the age of globalization: how much does it matter for firm performance?.(2004) In: ULB Institutional Repository.
[Citation analysis]
This paper has nother version. Agregated cites: 30
paper
1997The Cross Section of Common Stock Returns: A Review of the Evidence and Some New Findings In: INSEAD.
[Citation analysis]
paper14
1997The Cross Section of Common Stock Returns : A Review of the Evidence and Some New Findings..(1997) In: Rodney L. White Center for Financial Research Working Papers.
[Citation analysis]
This paper has nother version. Agregated cites: 14
paper
1999The Cross Section of Common Stock Returns: A Review of the Evidence and Some New Findings.(1999) In: Rodney L. White Center for Financial Research Working Papers.
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This paper has nother version. Agregated cites: 14
paper
1997The Cross Section of Common Stock Returns: A Review of the Evidence and Some New Findings.(1997) In: Rodney L. White Center for Financial Research Working Papers.
[Citation analysis]
This paper has nother version. Agregated cites: 14
paper
1999The Cross Section of Common Stock Returns: A Review of the Evidence and Some New Findings..(1999) In: Rodney L. White Center for Financial Research Working Papers.
[Citation analysis]
This paper has nother version. Agregated cites: 14
paper
1988Market Efficiency and Equity Pricing: International Evidence and Implications for Global Investing In: Rodney L. White Center for Financial Research Working Papers.
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paper2
1988Market Efficiency and Equity Pricing: International Evidence and Implications for Global Investing.(1988) In: Rodney L. White Center for Financial Research Working Papers.
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This paper has nother version. Agregated cites: 2
paper
1988Seasonality, Size Premium and the Relationship Between the Risk and the Return of French Common Stocks In: Rodney L. White Center for Financial Research Working Papers.
[Citation analysis]
paper0
1988Seasonality, Size Premium and the Relationship Between the Risk and the Return of French Common Stocks.(1988) In: Rodney L. White Center for Financial Research Working Papers.
[Citation analysis]
This paper has nother version. Agregated cites: 0
paper
1988A Look at the Validity of the CAPM in Light of Equity Market Anomalies: The Case of Belgian Common Stocks In: Rodney L. White Center for Financial Research Working Papers.
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paper2
1994On the Predictability of Common Stock Returns: World-Wide Evidence (Revision of 23-92) (Reprint 054) In: Rodney L. White Center for Financial Research Working Papers.
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paper1
1992On the Predictability of Common Stock Returns: World-Wide Evidence. In: Rodney L. White Center for Financial Research Working Papers.
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paper22
1983Estimating and Adjusting for the Intervalling-Effect Bias in Beta In: Management Science.
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article45
1984Uncertainty and the Production Decisions of Owner-Managed and Labor-Managed Firms. In: Oxford Economic Papers.
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article0
1978A mean-standard deviation exposition of the theory of the firm under uncertainty In: MPRA Paper.
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paper16
1979An assessment of risk in thinner markets: the Belgian case In: MPRA Paper.
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paper1
1979Theory of the risk averse producer cooperative firm under uncertain demand In: MPRA Paper.
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paper2
1979Production as behavior toward risk In: MPRA Paper.
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paper0
1980Implications of microstructure theory for empirical research in stock price behavior In: MPRA Paper.
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paper40
2005The future of business schools In: MPRA Paper.
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paper11
1980On the theoretic and numeric problems of approximating the bond yield to maturity In: MPRA Paper.
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paper0
1987Equity pricing and stock market anomalies In: MPRA Paper.
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paper1
1983Why beta shifts as the return interval changes In: MPRA Paper.
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paper32
1986Industry influence on corporate working capital decisions In: MPRA Paper.
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paper17
1981The capital asset pricing model and the investment horizon: Comment In: MPRA Paper.
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paper1
1983The Theory of Risk Aversion and Liquidity Preference: A Geometric Exposition In: The American Economist.
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article1
2016The Internationalization of Higher Education and Business Schools In: SpringerBriefs in Business.
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book3
2016Introduction and Overview In: SpringerBriefs in Business.
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chapter0
2016What Is Internationalization? In: SpringerBriefs in Business.
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2016Internationalization: Motives In: SpringerBriefs in Business.
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2016Internationalization: Obstacles In: SpringerBriefs in Business.
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2016International Reach In: SpringerBriefs in Business.
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2016International Richness In: SpringerBriefs in Business.
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2016The Internationalization Matrix: Alternative Types of Higher Education Institutions In: SpringerBriefs in Business.
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2016The Metanational Higher Education Institution In: SpringerBriefs in Business.
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chapter0
2016Summary of Major Points and Recommendations In: SpringerBriefs in Business.
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CitEc is a RePEc service, providing citation data for Economics since 2001. Last updated November, 3 2024. Contact: CitEc Team