Gender diversity, state control, and corporate risk-taking: Evidence from China KLH Khaw, J Liao, D Tripe, U Wongchoti Pacific-Basin Finance Journal 39, 141-158, 2016 | 175 | 2016 |
Does it pay to be different? Relative CSR and its impact on firm value DK Ding, C Ferreira, U Wongchoti International Review of Financial Analysis 47, 86-98, 2016 | 157 | 2016 |
Systematic risk in cryptocurrency market: Evidence from DCC-MGARCH model NP Canh, U Wongchoti, SD Thanh, NT Thong Finance Research Letters 29, 90-100, 2019 | 147 | 2019 |
Stock return synchronicity and the market response to analyst recommendation revisions E Devos, W Hao, AK Prevost, U Wongchoti Journal of Banking & Finance 58, 376-389, 2015 | 82 | 2015 |
Short-horizon contrarian and momentum strategies in Asian markets: An integrated analysis TH McInish, DK Ding, CS Pyun, U Wongchoti International review of financial analysis 17 (2), 312-329, 2008 | 82 | 2008 |
Political connection and stock returns: A longitudinal study S Civilize, U Wongchoti, M Young Financial Review 50 (1), 89-119, 2015 | 74 | 2015 |
Stock market political cycles in a small, two-party democracy J Cahan, C Malone, U Powell John, Wong choti Applied Economics Letters 12 (12), 735-740, 2005 | 59 | 2005 |
Asymmetric information in the IPO aftermarket M Li, TH McInish, U Wongchoti Financial Review 40 (2), 131-153, 2005 | 50 | 2005 |
The geography of CSR DK Ding, C Ferreira, U Wongchoti International Review of Economics & Finance 59, 265-288, 2019 | 39 | 2019 |
Does information asymmetry lead to higher debt financing? Evidence from China during the NTS reform period W Qu, U Wongchoti, F Wu, Y Chen Journal of Asian Business and Economic Studies 25 (1), 109-121, 2018 | 31 | 2018 |
Behavioral explanations of trading volume and short-horizon price patterns: An investigation of seven Asia-Pacific markets DK Ding, TH McInish, U Wongchoti Pacific-Basin Finance Journal 16 (3), 183-203, 2008 | 31 | 2008 |
Does economic policy uncertainty matter for insurance development? Evidence from 16 OECD countries NP Canh, U Wongchoti, SD Thanh The Geneva Papers on Risk and Insurance-Issues and Practice 46, 614-648, 2021 | 27 | 2021 |
Risk‐Adjusted Long‐Term Contrarian Profits: Evidence from Non‐S&P 500 High‐Volume Stocks U Wongchoti, CS Pyun Financial Review 40 (3), 335-359, 2005 | 26 | 2005 |
Abnormal returns in gold and silver exchange traded funds M Naylor, U Wongchoti, C Gianotti SSRN, 2019 | 24 | 2019 |
Does institutional shareholder activism stimulate corporate information flow? AK Prevost, U Wongchoti, BR Marshall Journal of Banking & Finance 70, 105-117, 2016 | 22 | 2016 |
Does stock liquidity affect bankruptcy risk? DID analysis from Vietnam HH Trinh, CP Nguyen, W Hao, U Wongchoti Pacific-Basin Finance Journal 69, 101634, 2021 | 20 | 2021 |
The spillover effects of economic policy uncertainty on financial markets: a time-varying analysis CP Nguyen, TD Su, U Wongchoti, C Schinckus Studies in Economics and Finance 37 (3), 513-543, 2020 | 20 | 2020 |
Earnings quality and crash risk in China: an integrated analysis U Wongchoti, G Tian, W Hao, Y Ding, H Zhou Journal of Asian Business and Economic Studies 28 (1), 2-19, 2021 | 19 | 2021 |
Military regimes and stock market performance S Civilize, U Wongchoti, M Young Emerging Markets Review 22, 76-95, 2015 | 18 | 2015 |
Are Low Equity R2 Firms More or Less Transparent? Evidence from the Corporate Bond Market W Hao, A Prevost, U Wongchoti Financial Management 47 (4), 865-909, 2018 | 16 | 2018 |