Stock market literacy, trust, and participation A Balloch, A Nicolae, D Philip Review of Finance 19 (5), 1925-1963, 2015 | 203 | 2015 |
Bank Liquidity Creation and Risk-Taking: Does Managerial Ability Matter? PC Andreou, D Philip, PP Robejsek Journal of Business Finance and Accounting 43, 2016 | 156 | 2016 |
Media content and stock returns: The predictive power of press NJ Ferguson, D Philip, HYT Lam, JM Guo Multinational Finance Journal, 2015 | 154 | 2015 |
Financial Literacy and Fraud Detection C Engels, K Kumar, D Philip The European Journal of Finance, 2019 | 152 | 2019 |
CEO duality, agency costs, and internal capital allocation efficiency N Aktas, PC Andreou, I Karasamani, D Philip British Journal of Management 30 (2), 473-493, 2019 | 119 | 2019 |
What drives the disappearing dividends phenomenon? JM Kuo, D Philip, Q Zhang Journal of Banking & Finance 37 (9), 3499-3514, 2013 | 102 | 2013 |
Macro variables and the components of stock returns PF Maio, D Philip Journal of Empirical Finance, 2015 | 89* | 2015 |
Bank loan loss accounting treatments, credit cycles and crash risk PC Andreou, I Cooper, C Louca, D Philip The British Accounting Review 49 (5), 474-492, 2017 | 55* | 2017 |
Economic activity and momentum profits: Further evidence P Maio, D Philip Journal of Banking & Finance 88, 466-482, 2018 | 54 | 2018 |
Financial knowledge among university students and implications for personal debt and fraudulent investments PC Andreou, D Philip Cyprus Economic Policy Review, 2018 | 50 | 2018 |
Measuring firms’ market orientation using textual analysis of 10‐K filings PC Andreou, T Harris, D Philip British Journal of Management 31 (4), 872-895, 2020 | 45 | 2020 |
Institutional ownership and firms’ thrust to compete PC Andreou, F Fiordelisi, T Harris, D Philip British Journal of Management 33 (3), 1346-1370, 2022 | 31 | 2022 |
Optimal hedging in carbon emission markets using Markov regime switching models D Philip, Y Shi Journal of International Financial Markets, Institutions & Money, 2016 | 26 | 2016 |
Multifactor models and their consistency with the APT I Cooper, L Ma, P Maio, D Philip The Review of Asset Pricing Studies 11 (2), 402-444, 2021 | 21 | 2021 |
Differences in Option Investors’ Expectations and the Cross-Section of Stock Returns PC Andreou, A Kagkadis, D Philip, R Tuneshev Journal of Banking and Finance 94, 315-336, 2018 | 21 | 2018 |
Dispersion in options investors' versus analysts' expectations: Predictive inference for stock returns PC Andreou, A Kagkadis, PF Maio, D Philip Critical Finance Review, 2019 | 20* | 2019 |
Financial literacy, awareness and inclusion A Banerjee, K Kumar, D Philip ISI Working Paper, https://www. isid. ac. in/~ epu/acegd2017/papers …, 2017 | 18 | 2017 |
Impact of Allowance Submissions in European Carbon Emission Markets D Philip, Y Shi International Review of Financial Analysis, 2015 | 17 | 2015 |
Short-sale constraints and efficiency of the spot–futures dynamics DG McMillan, D Philip International Review of Financial Analysis 24, 129-136, 2012 | 14 | 2012 |
The Power of a Financially Literate Woman in Intra-Household Financial Decision-Making A Banerjee, I Hasan, K Kumar, D Philip https://ssrn.com/abstract=3246314, 2021 | 12 | 2021 |