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Financial Markets and Investment Strategies
TopicLeading institutions, researchers & key papers
This cluster of papers explores asset pricing models, stock returns, market efficiency, investor sentiment, liquidity risk, behavioral finance, momentum investing, market microstructure, hedge funds, and the information content of various factors affecting asset prices.
25
Works
IDs:OpenAlex
How has Financial Markets and Investment Strategies's publication output changed over time?
ScholarIQpublication output · 1995–2024
Output grew0% over the shown period — from 1 works in 1995 to 1 in 2024.
1
1
1
1
1
1
1
1
2
1
1995200220042006200920132014201620222024
What are the most-cited papers on Financial Markets and Investment Strategies?
ScholarIQmost cited works
The Conditional Relation between Beta and Returns
Glenn N. Pettengill, Sridhar Sundaram, Ike Mathur
S193228710. 1995546 CitationsOPEN ACCESS
Multiscale systematic risk
Ramazan Gençay, Faruk Selçuk∥, Brandon Whitcher
S10747938. 2004314 CitationsOPEN ACCESS
Payment For Risk: Constant Beta Vs. Dual‐Beta Models
Glenn N. Pettengill, Sridhar Sundaram, Ike Mathur
S9351053. 200262 Citations
Investor's herding behavior in Asian equity markets during COVID-19 period
Rui Jiang, Conghua Wen, Ruonan Zhang, Yu Cui
S29049940. 202250 CitationsOPEN ACCESS
An investigation of the mean reversion of hospitality stock prices towards their fundamental values: The case of Taiwan
Ming‐Hsiang Chen, Woo Gon Kim, Ching-Yi Chen
International Journal of Hospitality Management. 200621 Citations
Where is Financial Markets and Investment Strategies research published, and who funds it?
ScholarIQvenues & funding sources
TOP JOURNALS
TOP FUNDERS
National Science Foundation—
NIH—
Wellcome Trust—
European Research Council—
Funder breakdown is a member featureSign up free to unlock
How much of the research on Financial Markets and Investment Strategies is open access?
ScholarIQopen access share
36%OPEN ACCESS
Gold
0%
Green
18%
Hybrid
9%
Bronze
9%
Closed
64%
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