Benjamin Ranish
Publications by Year
Research Areas
Housing Market and Economics, Financial Markets and Investment Strategies, Banking stability, regulation, efficiency, Corporate Finance and Governance, Financial Literacy, Pension, Retirement Analysis
Most-Cited Works
- → Getting Better or Feeling Better? How Equity Investors Respond to Investment Experience(2014)70 cited
- → Who Owns What? A Factor Model for Direct Stockholding(2023)49 cited
- → Do the Rich Get Richer in the Stock Market? Evidence from India(2018)42 cited
- → The Impact of Regulation on Mortgage Risk: Evidence from India(2015)32 cited
- → COVID-19 as a Stress Test: Assessing the Bank Regulatory Framework(2021)14 cited
- → How Do Regulators Influence Mortgage Risk: Evidence from an Emerging Market(2012)13 cited
- → Who Owns What? A Factor Model for Direct Stock Holding(2021)10 cited