Corporate behavior in adjusting to capital structure and dividend targets: An econometric study A Jalilvand, RS Harris The journal of Finance 39 (1), 127-145, 1984 | 988 | 1984 |
Pre-bid price run-ups and insider trading activity: Evidence from Canadian acquisitions AR Jabbour, A Jalilvand, JA Switzer International Review of Financial Analysis 9 (1), 21-43, 2000 | 98 | 2000 |
Why firms use derivatives: evidence from Canada A Jalilvand Canadian Journal of Administrative Sciences/Revue Canadienne des Sciences de …, 1999 | 74 | 1999 |
A global perspective on the use of derivatives for corporate risk management decisions A Jalilvand, J Switzer, C Tang Managerial Finance 26 (3), 29-38, 2000 | 50 | 2000 |
Informed and uninformed investors in Iran: Evidence from the Tehran Stock Exchange A Jalilvand, MR Noroozabad, J Switzer Journal of Economics and Business 95, 47-58, 2018 | 29 | 2018 |
Matching Slack Resources and Investment Strategies to Achieve Long-Term Performance: New Perspectives on Corporate Adaptability A Jalilvand, SM Kim Journal of Economic Asymmetries 10 (1), 38-52, 2013 | 29 | 2013 |
Components of credit rationing M Beyhaghi, F Firoozi, A Jalilvand, L Samarbakhsh Journal of Financial Stability 50, 100762, 2020 | 22 | 2020 |
Recent Evidence on Investors’ Behavior in the Tehran Stock Exchange: Preliminary Evidence and Future Insights A Jalilvand, MR Noroozabad Journal of Financial Research 18 (1), 2016 | 16 | 2016 |
Le Beau Footwear: A Business Valuation Case for a Privately-Held Firm J Jalilvand, Abolhassan and Kostolansky Issues in Accounting Education 31 (4: 439-44), 439-44, 2016 | 16 | 2016 |
Information asymmetry and adverse wealth effects of crowdfunding F Firoozi, A Jalilvand, DD Lien The Journal of Entrepreneurial Finance (JEF) 18 (1), 1-8, 2016 | 12 | 2016 |
Sovereign risk and international lending, theoretical and empirical analysis J Doukas, A Jalilvand Journal of Banking and Finance, 132-145, 1986 | 12 | 1986 |
Dynamics of investors’ financial literacy, risk perceptions and emotions: Evidence from the Tehran stock exchange A Jalilvand, M Rostami Noroozabad Journal of Investment Knowledge 7 (27), 141-170, 2018 | 11 | 2018 |
Implementation of organizational risk management; identification, analysis, and evaluation (case study: Active financial institution in Iranian capital market) A Jalilvand, M Rostami Noroozabad, E Askari Firoozjaei, M Rahmaniani Journal of Asset Management and Financing 7 (2), 1-24, 2019 | 10 | 2019 |
Default risk, firm characteristics, and the valuation of variable-rate debt instruments A Jalilvand, TH Park Financial Management, 58-68, 1994 | 9 | 1994 |
Risk management policies and practices: Evidence on Canadian non-financial corporations A Jalilvand, C Tang Mimeo, Concordia University, Montreal, 26, 1996 | 7 | 1996 |
A synthesis on investment banker reputation and pricing of initial public offerings: New evidence on reverse LBOs A Jalilvand, SM Stewart, JA Switzer FINANCIAL MARKETS INSTITUTIONS AND INSTRUMENTS 5, 37-61, 1996 | 7 | 1996 |
Statistical tests of the accuracy of alternative forecasts: some results for US utility betas L Kryzanowski, A Jalilvand Financial Review 21 (2), 319-336, 1986 | 6 | 1986 |
Do economic shocks affect value and growth firms differently? multi-industry evidence from the euro market, draft paper M Asal, A Jalilvand | 5 | 2015 |
Enterprise Risk Management Maturity: A Clinical Study of a US Multinational Nonprofit Firm A Jalilvand, S Moorthy Journal of Accounting, Auditing & Finance, 0148558X221097754, 2022 | 4 | 2022 |
What Factors Influence the Differential Behavior of Value and Growth Firms? Evidence from the Tehran Stock Exchange M Rostami Noroozabad, A Jalilvand, M Fallahshams Layalestani, ... Financial Research Journal 21 (4), 517-544, 2020 | 4 | 2020 |