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Shawn Howton
Shawn Howton
Associate Professor of Finance, Villanova University
Verified email at villanova.edu
Title
Cited by
Cited by
Year
Does the market respond to an endorsement of social responsibility? The role of institutions, information, and legitimacy
JP Doh, SD Howton, SW Howton, DS Siegel
Journal of management 36 (6), 1461-1485, 2010
6372010
Currency and interest-rate derivatives use in US firms
SD Howton, SB Perfect
Financial Management, 111-121, 1998
2791998
Board ownership and IPO returns
SD Howton, SW Howton, GT Olson
Journal of Economics and Finance 25 (1), 100-114, 2001
1112001
The market reaction to straight debt issues: The effects of free cash flow
SD Howton, SW Howton, SB Perfect
Journal of Financial Research 21 (2), 219-228, 1998
841998
Anomalous evidence on operating performance following seasoned equity offerings: The case of REITs
HS Friday, SD Howton, SW Howton
Financial Management, 76-87, 2000
412000
Managerial compensation and firm derivative usage: An empirical analysis.
SD Howton, SB Perfect
Journal of Derivatives 6 (2), 53-64, 1998
381998
The corporate response to the 2003 dividend tax cut
S Howton, SD Howton
Journal of Applied Finance 16 (1), 2006
242006
Long run underperformance in REITs following seasoned equity offerings
S Howton, S Howton, H Friday
Journal of Real Estate Portfolio Management 6 (4), 355-363, 2000
192000
The ethical implications of ignoring shareholder directives to remove antitakeover provisions
SD Howton, SW Howton, VB McWilliams
Business Ethics Quarterly 18 (3), 321-346, 2008
172008
Financial flexibility and at‐the‐market (ATM) equity offerings: Evidence from real estate investment trusts
D Hartzell, SD Howton, S Howton, B Scheick
Real estate economics 47 (2), 595-636, 2019
162019
The information content of just‐in‐time inventory system adoption announcement
SD Howton, EJ Higgins, TB Biggart
Journal of Business Finance & Accounting 27 (5‐6), 711-732, 2000
162000
The predictive power of REIT implied volatility and implied idiosyncratic volatility
D Diavatopoulos, A Fodor, S Howton, S Howton
Journal of Real Estate Portfolio Management 16 (1), 29-38, 2010
142010
Financial flexibility and investment: Evidence from REIT At‐the‐Market (ATM) equity offerings
SD Howton, SW Howton, B Scheick
Real Estate Economics 46 (2), 334-367, 2018
132018
REIT ownership and property performance: Evidence from the lodging industry
S Howton, S Howton, J Lee, M Luo
Journal of Real Estate Portfolio Management 18 (2), 169-185, 2012
122012
An Analysis of Closed‐end Fund Seasoned Equity Offerings
EJ Higgins, S Howton, S Howton
Journal of Financial Research 26 (2), 243-257, 2003
112003
Managerial compensation and optimal corporate hedging
SB Perfect, KW Wiles, SD Howton
Journal of Financial and Strategic Decisions 13 (2), 45-56, 2000
112000
Shareholder wealth effects of private placements of debt made by REITs
E Higgins, S Howton, S Howton
Briefings in Real Estate Finance: An International Journal 3 (4), 305-314, 2004
82004
The wealth effects of REIT straight debt offerings
S Howton, S Howton
Journal of Real Estate Portfolio Management 7 (2), 151-157, 2001
82001
Equity vs debt financing of REITs: a survey of determinants of the security issue decision
SD Howton, SW Howton, V McWilliams
Briefings in Real Estate Finance: An International Journal 3 (2), 147-157, 2003
62003
The impact of option introduction on real estate investment trusts
D Diavatopoulos, A Fodor, S Howton, S Howton
Journal of Real Estate Portfolio Management 17 (3), 213-226, 2011
42011
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