The impact of the dimensions of social performance on firm risk K Bouslah, L Kryzanowski, B M’zali Journal of Banking & Finance 37 (4), 1258-1273, 2013 | 514 | 2013 |
Social performance and firm risk: Impact of the financial crisis K Bouslah, L Kryzanowski, B M’zali Journal of Business Ethics 149, 643-669, 2018 | 334 | 2018 |
Using artificial neural networks to pick stocks L Kryzanowski, M Galler, DW Wright Financial Analysts Journal 49 (4), 21-27, 1993 | 268 | 1993 |
Policy uncertainty and corporate credit spreads MS Kaviani, L Kryzanowski, H Maleki, P Savor Journal of Financial Economics 138 (3), 838-865, 2020 | 248 | 2020 |
The contrarian investment strategy does not work in Canadian markets L Kryzanowski, H Zhang Journal of Financial and Quantitative Analysis 27 (3), 383-395, 1992 | 162 | 1992 |
The impact of natural disasters on the stock returns and volatilities of local firms M Bourdeau-Brien, L Kryzanowski The Quarterly Review of Economics and Finance 63, 259-270, 2017 | 125 | 2017 |
Canadian banking solvency, 1922-1940 L Kryzanowski, GS Roberts Journal of Money, Credit and Banking 25 (3), 361-376, 1993 | 118 | 1993 |
An exploratory analysis of the order book, and order flow and execution on the Saudi stock market M Al-Suhaibani, L Kryzanowski Journal of Banking & Finance 24 (8), 1323-1357, 2000 | 109 | 2000 |
General factor models and the structure of security returns L Kryzanowski, MC To Journal of Financial and Quantitative Analysis 18 (1), 31-52, 1983 | 103 | 1983 |
Trading patterns of small and large traders around stock split ex‐dates L Kryzanowski, H Zhang Journal of Financial Research 19 (1), 75-90, 1996 | 102 | 1996 |
Performance attribution using an APT with prespecified macrofactors and time-varying risk premia and betas L Kryzanowski, S Lalancette, MC To Journal of Financial and Quantitative Analysis 32 (2), 205-224, 1997 | 99 | 1997 |
Natural disasters and risk aversion M Bourdeau-Brien, L Kryzanowski Journal of Economic Behavior & Organization 177, 818-835, 2020 | 96 | 2020 |
Are current syndicated loan alliances related to past alliances? C Champagne, L Kryzanowski Journal of Banking & Finance 31 (10), 3145-3161, 2007 | 90 | 2007 |
Macrofactor conditional volatilities, time‐varying risk premia and stock return behavior G Koutoulas, L Kryzanowski Financial Review 31 (1), 169-195, 1996 | 86 | 1996 |
Political corruption and corporate payouts AT Hossain, T Hossain, L Kryzanowski Journal of Banking & Finance 123, 106016, 2021 | 76 | 2021 |
Market behaviour around Canadian stock-split ex-dates L Kryzanowski, H Zhang Journal of Empirical Finance 1 (1), 57-81, 1993 | 68 | 1993 |
The efficacy of trading suspensions: A regulatory action designed to prevent the exploitation of monopoly information L Kryzanowski The Journal of Finance 34 (5), 1187-1200, 1979 | 67 | 1979 |
Fixed-income fund performance: Role of luck and ability in tail membership MA Ayadi, L Kryzanowski Journal of Empirical Finance 18 (3), 379-392, 2011 | 57 | 2011 |
Price discovery around trading halts on the Montreal Exchange using trade‐by‐trade data L Kryzanowski, H Nemiroff Financial Review 33 (2), 195-212, 1998 | 55 | 1998 |
Financial restatements and Sarbanes–Oxley: Impact on Canadian firm governance and management turnover L Kryzanowski, Y Zhang Journal of Corporate Finance 21, 87-105, 2013 | 54 | 2013 |