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Arun  J  Prakash
Arun J Prakash
Verified email at fiu.edu
Title
Cited by
Cited by
Year
Multivariate normality and forecasting of business bankruptcy
GV Karels, AJ Prakash
Journal of Business Finance & Accounting 14 (4), 573-593, 1987
6211987
Portfolio selection and skewness: Evidence from international stock markets
P Chunhachinda, K Dandapani, S Hamid, AJ Prakash
Journal of Banking & Finance 21 (2), 143-167, 1997
5991997
Selecting a portfolio with skewness: Recent evidence from US, European, and Latin American equity markets
AJ Prakash, CH Chang, TE Pactwa
Journal of Banking & Finance 27 (7), 1375-1390, 2003
3332003
Does knowledge of finance mitigate the gender difference in financial risk-aversion?
AM Hibbert, ER Lawrence, AJ Prakash
Global finance journal 24 (2), 140-152, 2013
1082013
Voluntary disclosure and its impact on share prices: Evidence from the UK biotechnology sector
E Dedman, SWJ Lin, AJ Prakash, CH Chang
Journal of Accounting and Public Policy 27 (3), 195-216, 2008
882008
Answering financial anomalies: Sentiment-based stock pricing
ER Lawrence, G McCabe, AJ Prakash
The journal of behavioral finance 8 (3), 161-171, 2007
782007
Liquidity and asset pricing under the three‐moment CAPM paradigm
D Nguyen, S Mishra, A Prakash, DK Ghosh
Journal of Financial Research 30 (3), 379-398, 2007
732007
Elevated gut microbiome-derived propionate levels are associated with reduced sterile lung inflammation and bacterial immunity in mice
X Tian, J Hellman, AR Horswill, HA Crosby, KP Francis, A Prakash
Frontiers in microbiology 10, 424987, 2019
702019
THE RELATIONSHIP BETWEEN BANK AND CAPITAL ADEQUACY AND MARKET MEASURES OF RISK.
GV Karels, AJ Prakash, E Roussakis
Journal of Business Finance & Accounting 16 (5), 1989
471989
Can diversification be learned?
AM Hibbert, ER Lawrence, AJ Prakash
Journal of Behavioral Finance 13 (1), 38-50, 2012
442012
Are women more risk-averse than men
AM Hibbert, E Lawrence, A Prakash
Unpublished, 2008
432008
A simplifying performance measure recognizing skewness
AJ Prakash, RM Bear
Financial Review 21 (1), 135-144, 1986
401986
The role of financial education in the management of retirement savings
AM Hibbert, ER Lawrence, AJ Prakash
Journal of Behavioral Finance 13 (4), 299-307, 2012
352012
Bank mergers and components of risk: An evaluation
S Mishra, AJ Prakash, GV Karels, M Peterson
Journal of Economics and Finance 29, 85-96, 2005
342005
Asset pricing models: A comparison
ER Lawrence, J Geppert, AJ Prakash
Applied Financial Economics 17 (11), 933-940, 2007
282007
The effect of prior investment outcomes on future investment decisions: is there a gender difference?
AM Hibbert, ER Lawrence, AJ Prakash
Review of Finance 22 (3), 1195-1212, 2018
262018
SHORT SALES BAN AND STOCK MARKET LIQUIDITY: The Comparison of NYSE and NASDAQ-Listed Stocks.
O Lobanova, SS Hamid, AJ Prakash
International Journal of Finance 23 (2), 2011
262011
Why a decision maker may prefer a seemingly unfair gamble
AJ Prakash, CH Chang, S Hamid, MW Smyser
Decision Sciences 27 (2), 239-253, 1996
241996
A tax‐based motive for the underpricing of initial public offerings
MA Reside, RM Robinson, AJ Prakash, K Dandapani
Managerial and Decision Economics 15 (6), 553-561, 1994
231994
Efficacy of portfolio performance measures: an evaluation
P Chunhachinda, K Dandapani, S Hamid, AJ Prakash
Quarterly Journal of Business and Economics, 74-87, 1994
231994
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Articles 1–20