Corporate dividend policy revisited HK Baker, R Weigand Managerial Finance 41 (2), 126-144, 2015 | 239 | 2015 |
Sources of bank interest rate risk DR Fraser, J Madura, RA Weigand Financial Review 37 (3), 351-367, 2002 | 168 | 2002 |
The business case for commitment to diversity SF Slater, RA Weigand, TJ Zwirlein Business horizons 51 (3), 201-209, 2008 | 160 | 2008 |
The information content of dividend initiations: Additional evidence EA Dyl, RA Weigand Financial Management, 27-35, 1998 | 158 | 1998 |
Explaining persistence in mutual fund performance FL Detzel, RA Weigand Financial Services Review 7 (1), 45-55, 1998 | 76 | 1998 |
Changes in the stock price reaction of small firms to common information NL Fargher, RA Weigand Journal of Financial Research 21 (1), 105-121, 1998 | 58 | 1998 |
The market P/E ratio, earnings trends, and stock return forecasts RA Weigand, R Irons The Journal of Portfolio Management 33 (4), 87-101, 2007 | 48 | 2007 |
Organizational diversity, profits and returns in US firms RA Weigand Problems and Perspectives in Management, 69-83, 2007 | 45 | 2007 |
The cross-sectional dispersion of stock returns, alpha and the information ratio LR Gorman, SG Sapra, RA Weigand Journal of Investing 19 (3), 113, 2010 | 41 | 2010 |
The generation of stock market cycles SE Bolten, RA Weigand Financial Review 33 (1), 77-84, 1998 | 37 | 1998 |
The role of cross-sectional dispersion in active portfolio management LR Gorman, SG Sapra, RA Weigand Forthcoming in Investment Management and Financial Innovations, 2010 | 28 | 2010 |
Cross‐sectional differences in the profits, returns and risk of firms initiating dividends NL Fargher, RA Weigand Managerial Finance 35 (6), 509-530, 2009 | 28 | 2009 |
Changing perspectives on distribution policy: The evolution from dividends to share repurchase RA Weigand, H Kent Baker Managerial Finance 35 (6), 479-492, 2009 | 27 | 2009 |
The performance and risk of banks in the US, Europe and Japan post-financial crisis RA Weigand Investment Management and Financial Innovations 13 (4), 75-93, 2016 | 25 | 2016 |
A tale of two banking systems: the performance of US and European banks in the 21st century RA Weigand Available at SSRN 2547758, 2015 | 23 | 2015 |
Applied Equity Analysis and Portfolio Management,+ Online Video Course: Tools to Analyze and Manage Your Stock Portfolio RA Weigand John Wiley & Sons, 2014 | 22 | 2014 |
Stock selection based on mutual fund holdings: Evidence from large-cap funds RA Weigand, S Belden, TJ Zwirlein FINANCIAL SERVICES REVIEW-GREENWICH- 13 (2), 139-150, 2004 | 19 | 2004 |
Trading volume and firm size: A test of the information spillover hypothesis RA Weigand Review of Financial Economics 5 (1), 47-58, 1996 | 16 | 1996 |
Opportunistic earnings management or performance-related effects? Evidence from dividend-paying firms R Espahbodi, N Liu, RA Weigand Global Finance Journal 54, 100636, 2022 | 13 | 2022 |
The ex-dividend day behavior of American depository receipts LR Gorman, A Mahajan, RA Weigand Journal of Multinational Financial Management 14 (1), 1-18, 2004 | 11 | 2004 |