Obserwuj
Ann Marie Hibbert
Ann Marie Hibbert
Professor of Finance, West Virginia University
Zweryfikowany adres z mail.wvu.edu
Tytuł
Cytowane przez
Cytowane przez
Rok
A behavioral explanation for the negative asymmetric return–volatility relation
AM Hibbert, RT Daigler, B Dupoyet
Journal of Banking & Finance 32 (10), 2254-2266, 2008
3472008
Does knowledge of finance mitigate the gender difference in financial risk-aversion?
AM Hibbert, ER Lawrence, AJ Prakash
Global finance journal 24 (2), 140-152, 2013
168*2013
Nonstandard errors
AJ Menkveld, A Dreber, F Holzmeister, J Huber, M Johannesson, ...
The Journal of Finance 79 (3), 2339-2390, 2024
932024
Examining the Return–Volatility Relation for Foreign Exchange: Evidence from the Euro VIX
RT Daigler, AM Hibbert, I Pavlova
Journal of Futures Markets 34 (1), 74-92, 2014
492014
Credit spread changes and equity volatility: Evidence from daily data
AM Hibbert, I Pavlova, J Barber, K Dandapani
Financial Review 46 (3), 357-383, 2011
432011
Can diversification be learned?
AM Hibbert, ER Lawrence, AJ Prakash
Journal of Behavioral Finance 13 (1), 38-50, 2012
412012
The role of financial education in the management of retirement savings
AM Hibbert, ER Lawrence, AJ Prakash
Journal of Behavioral Finance 13 (4), 299-307, 2012
392012
Heterogeneous beliefs and return volatility around seasoned equity offerings
AM Hibbert, Q Kang, A Kumar, S Mishra
Journal of Financial Economics 137 (2), 571-589, 2020
342020
The effect of prior investment outcomes on future investment decisions: is there a gender difference?
AM Hibbert, ER Lawrence, AJ Prakash
Review of Finance 22 (3), 1195-1212, 2018
272018
The drivers of sovereign cds spread changes: local versus global factors
AM Hibbert, I Pavlova
Financial Review 52 (3), 435-457, 2017
262017
Do finance professors invest like everyone else?
AM Hibbert, ER Lawrence, AJ Prakash
Financial Analysts Journal 68 (5), 95-105, 2012
192012
Expectations and financial markets: Lessons from Brexit
C Gu, AM Hibbert
Financial review 56 (2), 279-299, 2021
182021
The Shareholder's response to a firm's first international acquisition
K Dandapani, AM Hibbert, ER Lawrence
Journal of Banking & Finance 118, 105852, 2020
172020
The impact of gender-diverse board and institutional investors on accruals management
R Oyotode-Adebile, AM Hibbert, S Shankar
Journal of Behavioral and Experimental Finance 34, 100621, 2022
102022
Financial contagion: A tale of three bubbles
N Burks, A Fadahunsi, AM Hibbert
Journal of Risk and Financial Management 14 (5), 229, 2021
102021
Credit spreads and regime shifts
I Pavlova, AM Hibbert, JR Barber, K Dandapani
The Journal of Fixed Income 25 (1), 58, 2015
102015
CEO international background and cross-border M&As
B Agcayazi, AM Hibbert, TG Morillon
Journal of Banking & Finance 164, 107129, 2024
92024
The impact of oil shocks on sovereign default risk
SAM Alturki, AM Hibbert
World Bank, 2021
72021
Testing the performance of asset pricing models in different economic and interest rate regimes using individual stock returns
AM Hibbert, ER Lawrence
International Journal of Banking and Finance 7 (1), 79-98, 2010
52010
Twitter information, analyst behavior, and market efficiency
AM Hibbert, A Kumar
SSRN Electronic Journal, 2022
42022
Nie można teraz wykonać tej operacji. Spróbuj ponownie później.
Prace 1–20