Assessing the value relevance of accounting data after the introduction of IFRS in Europe A Devalle, E Onali, R Magarini Journal of international financial management & accounting 21 (2), 85-119, 2010 | 415 | 2010 |
Covid-19 and stock market volatility E Onali Available at SSRN 3571453, 2020 | 367 | 2020 |
CEO power, government monitoring, and bank dividends E Onali, R Galiakhmetova, P Molyneux, G Torluccio Journal of Financial Intermediation 27, 89-117, 2016 | 154 | 2016 |
Does gender diversity on banks' boards matter? Evidence from public bailouts G Cardillo, E Onali, G Torluccio Journal of Corporate Finance 71, 101560, 2021 | 141 | 2021 |
Pre-adoption market reaction to IFRS 9: A cross-country event-study E Onali, G Ginesti Journal of Accounting and Public Policy 33 (6), 628-637, 2014 | 121 | 2014 |
The real effects of regulatory enforcement actions: Evidence from US counties P Danisewicz, D McGowan, E Onali, K Schaeck Available at SSRN 2407646, 2014 | 107* | 2014 |
Are European equity markets efficient? New evidence from fractal analysis E Onali, J Goddard International review of financial analysis 20 (2), 59-67, 2011 | 101 | 2011 |
Moral Hazard, Dividends, and Risk in Banks E Onali Journal of Business Finance & Accounting 41 (1-2), 128-155, 2014 | 100 | 2014 |
Unifractality and multifractality in the Italian stock market E Onali, J Goddard International review of financial analysis 18 (4), 154-163, 2009 | 78 | 2009 |
How should we estimate value-relevance models? Insights from European data E Onali, G Ginesti, C Vasilakis The British Accounting Review 49 (5), 460-473, 2017 | 77 | 2017 |
Market reaction to bank liquidity regulation B Bruno, E Onali, K Schaeck Journal of Financial and Quantitative Analysis 53 (2), 899-935, 2018 | 69 | 2018 |
Debt priority structure, market discipline, and bank conduct P Danisewicz, D McGowan, E Onali, K Schaeck The Review of Financial Studies 31 (11), 4493-4555, 2018 | 59 | 2018 |
Do stress tests affect bank liquidity creation? TVH Nguyen, S Ahmed, T Chevapatrakul, E Onali Journal of Corporate Finance 64, 101622, 2020 | 42 | 2020 |
Natural disasters and economic growth: The role of banking market structure A Duqi, D McGowan, E Onali, G Torluccio Journal of Corporate Finance 71, 102101, 2021 | 41 | 2021 |
Investor reaction to IFRS for financial instruments in Europe: The role of firm-specific factors E Onali, G Ginesti, LV Ballestra Finance Research Letters 21, 72-77, 2017 | 41 | 2017 |
Debtholder monitoring incentives and bank earnings opacity P Danisewicz, D McGowan, E Onali, K Schaeck Journal of Financial and Quantitative Analysis 56 (4), 1408-1445, 2021 | 27 | 2021 |
Short and Long Memory in Stock Returns Data E Onali, J Goddard Economics Letters, Forthcoming, 2012 | 17* | 2012 |
Dividends and Risk in European banks E Onali 22nd Australasian Finance and Banking Conference, 2009 | 17 | 2009 |
A very British state capitalism: Variegation, political connections and bailouts during the COVID-19 crisis GT Wood, E Onali, A Grosman, ZA Haider Environment and Planning A: Economy and Space 55 (3), 673-696, 2023 | 15 | 2023 |
Corporate diversification and stock risk: Evidence from a global shock E Onali, DV Mascia Journal of Corporate Finance 72, 102150, 2022 | 15 | 2022 |