Kenneth S. Bartunek
Florida Atlantic University(US)
Publications by Year
Research Areas
Corporate Finance and Governance, Banking stability, regulation, efficiency, Financial Markets and Investment Strategies, Stochastic processes and financial applications, Monetary Policy and Economic Impact
Most-Cited Works
- → Implied Risk Aversion Parameter from Option Prices(1997)31 cited
- → Intra‐industry effects of bank layoff announcements(1995)22 cited
- → Valuation effects of the FDIC Improvement Act(1995)17 cited
- → Are acquisitions by utility firms beneficial?(1993)15 cited
- → Contagion effects of the bank of new England's failure(1994)6 cited
- → Implied Volatility vs. GARCH: A Comparison of Forecasts(1995)5 cited
- → Wealth effects of reserve requirement reductions in the 1990s on depository institutions(1996)3 cited
- → Option Delisting of Stocks That Continue Trading: An Examination of Welfare Effects(1996)3 cited
- → Wealth Effects from Acquiring Bankrupt Firms(1995)2 cited
- → Implied Volatility and Risk Preference From Option Prices.(1991)