Seuraa
Sami Vähämaa
Sami Vähämaa
Professor of Accounting and Finance
Vahvistettu sähköpostiosoite verkkotunnuksessa uwasa.fi - Kotisivu
Nimike
Viittaukset
Viittaukset
Vuosi
Female executives and earnings management
E Peni, S Vähämaa
Managerial Finance 36 (7), 629–645, 2010
5192010
Are female CEOs and Chairwomen more conservative and risk averse? Evidence from the banking industry during the financial crisis
A Palvia, E Vähämaa, S Vähämaa
Journal of Business Ethics 131 (3), 577-594, 2015
3922015
Did Good Corporate Governance Improve Bank Performance during the Financial Crisis?
E Peni, S Vähämaa
Journal of Financial Services Research 41 (1-2), 19-35, 2012
3282012
Female Auditors and Accruals Quality
K Ittonen, E Vähämaa, S Vähämaa
Accounting Horizons 27 (2), 205-228, 2013
2852013
Why does the correlation between stock and bond returns vary over time?
M Andersson, E Krylova, S Vähämaa
Applied Financial Economics 18 (2), 139-151, 2008
2812008
US Presidential Elections and Implied Volatility: The Role of Political Uncertainty
J Goodell, S Vähämaa
Journal of Banking and Finance 37 (3), 1108-1117, 2013
2632013
Does Female Representation on Audit Committees Affect Audit Fees?
K Ittonen, J Miettinen, S Vähämaa
Quarterly Journal of Finance and Accounting 49 (3-4), 113-139, 2010
1912010
Terrorism and stock market sentiment
J Nikkinen, S Vähämaa
The Financial Review 45 (2), 263-275, 2010
1232010
Production functions and productivity of family firms: Evidence from the S&P 500
M Martikainen, J Nikkinen, S Vähämaa
The Quarterly Review of Economics and Finance 49 (2), 295-307, 2009
1112009
The Fed's policy decisions and implied volatility
S Vähämaa, J Äijö
Journal of Futures Markets 31 (10), 995-1010, 2011
1002011
Implied volatility linkages among major European currencies
J Nikkinen, P Sahlström, S Vähämaa
Journal of International Financial Markets, Institutions and Money 16 (2 …, 2006
942006
Corporate governance and the systemic risk of financial institutions
J Iqbal, S Strobl, S Vähämaa
Journal of Economics and Business 82 (1), 42-61, 2015
922015
Measuring Systemic Risk: A Comparison of Alternative Market-Based Approaches
J Kleinow, F Moreira, S Strobl, S Vähämaa
Finance Research Letters 21, 40-46, 2017
802017
Cross‐dynamics of exchange rate expectations: a wavelet analysis
J Nikkinen, S Pynnönen, M Ranta, S Vähämaa
International Journal of Finance & Economics 16 (3), 205-217, 2011
742011
The ‘Dogs of the Dow’strategy revisited: Finnish evidence
E Rinne, S Vähämaa
The European Journal of Finance 17 (5-6), 451-469, 2011
522011
Ethical Reputation of Financial Institutions: Do Board Characteristics Matter?
L Baselga-Pascual, A Trujillo‐Ponce, E Vähämaa, S Vähämaa
Journal of Business Ethics 148 (3), 489-510, 2018
452018
Bank Corporate Governance and Real Estate Lending during the Financial Crisis
E Peni, S Smith, S Vähämaa
Journal of Real Estate Research 35 (3), 313-343, 2013
402013
Value versus growth in IPOs: New evidence from Finland
T Hahl, S Vähämaa, J Äijö
Research in International Business and Finance 31, 17-31, 2014
392014
Delta hedging with the smile
S Vähämaa
Financial Markets and Portfolio Management 18 (3), 241-255, 2004
382004
CEO facial masculinity and bank risk-taking
S Ahmed, J Sihvonen, S Vähämaa
Personality and Individual Differences 138, 133-139, 2019
372019
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Artikkelit 1–20