Corporate governance and the systemic risk of financial institutions J Iqbal, S Strobl, S Vähämaa Journal of Economics and Business 82, 42-61, 2015 | 104 | 2015 |
Measuring systemic risk: A comparison of alternative market-based approaches J Kleinow, F Moreira, S Strobl, S Vähämaa Finance Research Letters 21, 40-46, 2017 | 88 | 2017 |
Gender diversity in compensation committees S Strobl, DV Rama, S Mishra Journal of Accounting, Auditing & Finance 31 (4), 415-427, 2016 | 50 | 2016 |
Stand-alone vs systemic risk-taking of financial institutions S Strobl The Journal of Risk Finance 17 (4), 374-389, 2016 | 18 | 2016 |
The effect of volatility persistence on excess returns A Jain, S Strobl Review of Financial Economics 32, 58-63, 2017 | 15 | 2017 |
Price discovery and liquidity characteristics for US electronic futures and ETF markets AS Oztekin, S Mishra, PK Jain, RT Daigler, S Strobl, RD Holowczak The Journal of Trading 12 (2), 59-72, 2017 | 9 | 2017 |
Eine kritische Analyse des Exposure Draft Management Commentary mit Blick auf seine zentralen Zielsetzungen M Grottke, S Strobl Zeitschrift für Internationale Rechnungslegung (IRZ) 4, 483-488, 2009 | 7 | 2009 |
Understanding spread in the electronic futures markets: financial crisis perspective AS Oztekin, K Dandapani, S Mishra, S Strobl Applied Economics 50 (20), 2243-2250, 2018 | 3 | 2018 |
The Excess Returns Puzzle: Interactions with Information Asymmetry Variables S Strobl, A Jain International Journal of Finance, 2015 | 2 | 2015 |
The Anatomy of a Crash: Liquidity Black Holes and ETF Options during the Flash Crash of 2010 S Strobl, S Oztekin, R Daigler Review of Futures Markets 23 (2), 49-69, 2014 | 1 | 2014 |
Governance and Adverse Selection S Strobl, A Oztekin International Journal of Finance (2017) 28 (3), 2017 | | 2017 |
Governance and Liquidity Commonality in Asset Pricing S Strobl, AS Oztekin, S Mishra International Journal of Finance, 2016 | | 2016 |
Liquidity, governance and adverse selection in asset pricing S Strobl | | 2013 |