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Robert G. Bowman
Robert G. Bowman
Emeritus Professor of Finance, University of Auckland
Verified email at auckland.ac.nz - Homepage
Title
Cited by
Cited by
Year
The theoretical relationship between systematic risk and financial (accounting) variables
RG Bowman
The Journal of Finance 34 (3), 617-630, 1979
6441979
Understanding and conducting event studies
RG Bowman
Journal of Business Finance & Accounting 10 (4), 561-584, 1983
4941983
The importance of a market-value measurement of debt in assessing leverage
RG Bowman
Journal of accounting research, 242-254, 1980
4211980
The debt equivalence of leases: An empirical investigation
RG Bowman
Accounting Review, 237-253, 1980
2611980
Short-run overreaction in the New Zealand stock market
RG Bowman, D Iverson
Pacific-Basin Finance Journal 6 (5), 475-491, 1998
1641998
A change in market microstructure: the switch to electronic screen trading on the New Zealand stock exchange
M Blennerhassett, RG Bowman
Journal of International Financial Markets, Institutions and Money 8 (3-4 …, 1998
731998
Using comparable companies to estimate the betas of private companies
RG Bowman, SR Bush
Journal of Applied Finance, Forthcoming, 2007
642007
Corporate governance, regulation and foreign equity ownership: Lessons from Korea
BS Min, RG Bowman
Economic Modelling 47, 145-155, 2015
632015
Earnings management and abnormal returns: Evidence from the 1970–1972 Price Control Regulations
RG Bowman, F Navissi
Accounting & Finance 43 (1), 1-19, 2003
552003
The power to manage: Restructuring the New Zealand Electricity Department as a state-owned enterprise: The Electricorp experience
RB Spicer
(No Title), 1991
541991
The efficient market hypothesis—a discussion of institutional, agency and behavioural issues
RG Bowman, J Buchanan
Australian Journal of Management 20 (2), 155-166, 1995
321995
Diversification, rationality and the Asian economic crisis
RG Bowman, KF Chan, MR Comer
Pacific-Basin Finance Journal 18 (1), 1-23, 2010
252010
Regulatory threats and political vulnerability
RG Bowman, F Navissi, RC Burgess
Journal of Financial Research 23 (4), 411-420, 2000
212000
The reaction of world equity markets to the Asian economic crisis
RG Bowman, MR Comer
University of Auckland, Working Paper 2000, 1-51, 2000
182000
Estimating market risk premium
RG Bowman
JASSA, 10-13, 2001
162001
The theoretical relationship between systematic risk and financial (accounting) variables: Reply.
RG Bowman
Journal of Finance (Wiley-Blackwell) 36 (3), 1981
151981
Army farms and agricultural development in the Southwest Pacific
RG Bowman
Geographical Review 36 (3), 420-446, 1946
151946
Mitigating the threat of invasive marine species to Fiordland: New Zealand’s first pathway management plan
S Cunningham, L Teirney, J Brunton, R McLeod, R Bowman, D Richards, ...
Management of Biological Invasions 10 (4), 690-708, 2019
142019
The positive impact of corporate governance on foreign equity ownership: Evidence from Korea
RG Bowman, B Min
2012 financial markets & corporate governance conference, 2012
112012
Systematic cojumps, market component portfolios and scheduled macroeconomic announcements
KF Chan, RG Bowman, CJ Neely
Journal of Empirical Finance 43, 43-58, 2017
92017
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