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Marek Marciniak
Marek Marciniak
Assistant Professor of Finance, West Chester University of Pennsylvania
Verified email at wcupa.edu
Title
Cited by
Cited by
Year
Bank capital and exposure to the financial crisis
A Akhigbe, J Madura, M Marciniak
Journal of Economics and Business 64, 377-392, 2012
582012
Why do CEOs agree to the discipline of dividends?
D Smith, A Pennathur, M Marciniak
International Review of Financial Analysis 52, 38-48, 2017
352017
Risk change during crises: How do purely local companies differ from cross-listed firms? Evidence from the European crisis of 2010-2012
I Chira, M Marciniak
Journal of Economics and Business 74, 11-23, 2014
162014
Performance and risk among types of Exchange-Traded Funds during the financial crisis
S Davis, J Madura, M Marciniak
ETFs and Indexing 2009 (1), 182-188, 2009
92009
Characteristics of trading before takeovers that trigger SEC investigations
J Madura, M Marciniak
Applied Financial Economics 24, 1-18, 2014
8*2014
Information effects of announced stock index additions: Evidence from S&P 400
M Marciniak
Journal of Economics and Finance 36, 822-849, 2012
82012
Bidder country characteristics and informed trading in U.S. targets
J Madura, M Marciniak
Journal of International Financial Markets, Institutions & Money 29, 256-284, 2014
42014
Does market response to S&P announced index additions reflect adjustment for risk?
M Marciniak, D Smith
Journal of Risk Finance, 2018
22018
Regulation of illegal insider trading before takeovers
M Marciniak
Florida Atlantic University, 2013
2013
Corporate benefits from Investing in Poland’s Special Economic Zones
M Marciniak
The Global Business and Finance Review 16, 150-166, 2011
2011
Performance and risk among different types of exchange-traded funds during the financial crisis
S Davis, J Madura, M Marciniak
Institutional Investor's 8th Annual Guide to Exchange-Traded Funds, 1-7, 2009
2009
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Articles 1–11