关注
Sunil Poshakwale
Sunil Poshakwale
Professor of International Finance
在 cranfield.ac.uk 的电子邮件经过验证
标题
引用次数
引用次数
年份
Evidence on weak form efficiency and day of the week effect in the Indian stock market
S Poshakwale
Finance India 10 (3), 605-616, 1996
5041996
Economic variables and stock market returns: evidence from the Athens stock exchange
T Patra, S Poshakwale
Applied financial economics 16 (13), 993-1005, 2006
2122006
Determinants of corporate dividend policy in Greece
T Patra, S Poshakwale, K Ow-Yong
Applied Financial Economics 22 (13), 1079-1087, 2012
1692012
Disclosure level and cost of equity capital: evidence from the banking industry
S Poshakwale, JK Courtis
Managerial and Decision Economics 26 (7), 431-444, 2005
1392005
The random walk hypothesis in the emerging Indian stock market
S Poshakwale
Journal of Business Finance & Accounting 29 (9‐10), 1275-1299, 2002
1302002
Competitiveness and efficiency of the banking sector and economic growth in Egypt
SS Poshakwale, B Qian
African development review 23 (1), 99-120, 2011
1182011
Modelling the volatility in East European emerging stock markets: evidence on Hungary and Poland
S Poshakwale, V Murinde
Applied Financial Economics 11 (4), 445-456, 2001
1072001
Transparency in IPO mechanism: Retail investors’ participation, IPO pricing and returns
S Neupane, SS Poshakwale
Journal of banking & Finance 36 (7), 2064-2076, 2012
1062012
Predictability of stock returns using financial statement information: evidence on semi-strong efficiency of emerging Greek stock market
C Alexakis, T Patra, S Poshakwale
Applied Financial Economics 20 (16), 1321-1326, 2010
962010
The impact of the introduction of futures contracts on the spot market volatility: the case of Kuala Lumpur Stock Exchange
WC Pok, S Poshakwale
Applied Financial Economics 14 (2), 143-154, 2004
912004
The dynamics between stock returns and mutual fund flows: Empirical evidence from the Greek market
C Alexakis, N Niarchos, T Patra, S Poshakwale
International Review of Financial Analysis 14 (5), 559-569, 2005
812005
International equity portfolio allocations and transaction costs
C Thapa, SS Poshakwale
Journal of Banking & Finance 34 (11), 2627-2638, 2010
762010
Investor behaviour and herding: Evidence from the national stock exchange in India
S Poshakwale, A Mandal
Journal of Emerging Market Finance 13 (2), 197-216, 2014
572014
Volatility in the emerging stock markets in central and Eastern Europe: evidence on Croatia, Czech Republic, Hungary, Poland, Russia and Slovakia
V Murinde, S Poshakwale
European Research Studies 4 (3-4), 73-101, 2002
562002
Country-specific equity market characteristics and foreign equity portfolio allocation
C Thapa, SS Poshakwale
Journal of International Money and Finance 31 (2), 189-211, 2012
462012
Long-run and short-run relationship between the main stock indexes: evidence from the Athens stock exchange
T Patra, SS Poshakwale
Applied Financial Economics 18 (17), 1401-1410, 2008
462008
Exchange rate and stock price interactions in European emerging financial markets before and after the Euro
V Murinde, SS Poshakwale
Available at SSRN 493543, 2004
442004
Investor protection and international equity portfolio investments
SS Poshakwale, C Thapa
Global finance journal 22 (2), 116-129, 2011
36*2011
Market in Financial Instruments Directive (MiFID), stock price informativeness and liquidity
D Aghanya, V Agarwal, S Poshakwale
Journal of Banking & Finance 113, 105730, 2020
352020
Market capitalisation, cross-correlations, the lead/lag structure and microstructure effects in the Indian stock market
S Poshakwale, M Theobald
Journal of International Financial Markets, Institutions and Money 14 (4 …, 2004
352004
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