@article {1970236, title = {The Effect of Ownership Structure on the Price Earnings Ratio-Returns Anomaly}, journal = {International Review of Financial Analysis}, year = {2015}, month = {2015}, keywords = {Finance}, author = {Houmes,Robert and Chira,Inga} } @article {1970241, title = {Bad News and Bank Performance during the 2008 Financial Crisis}, journal = {Applied Financial Economics}, volume = {24}, year = {2014}, month = {2014}, pages = {1-12}, abstract = {The paper investigates market reaction to negative reports published by analysts and auditors for a sample of investment, commercial, and savings banks during the 2008 financial crisis and compares the results to non-crisis periods. The results show that during 2008, analysts{\textquoteright} downgrades and underperformance reports resulted in stronger negative returns than during non-crisis periods and that investment banks experienced the worst stock price declines. The market reaction to auditors{\textquoteright} issues and going concern flags is different during the crisis as well. In non-crisis periods no reaction to auditors{\textquoteright} bad news is reported, while during the crisis there is a negative and significant reaction for investment banks only. Overall, the type of bank, investment versus commercial, significantly contributes to explaining the variability in returns during the financial crisis.}, keywords = {Finance}, author = {Chira,Inga} } @article {1970246, title = {Risk Change during Crises: How do Purely Local Companies Differ from Cross-listed Firms? Evidence from the European Crisis of 2010-2012}, journal = {Journal of Economics and Business}, year = {2014}, month = {2014}, keywords = {Finance}, author = {Chira,Inga} } @article {1970251, title = {Special Dividend Distributions, Firm Characteristics, and Economic Conditions}, journal = {Journal of Applied Finance: theory, practice, education}, year = {2014}, month = {2014}, keywords = {Finance}, author = {Chira,Inga} } @article {1970256, title = {Bank Exposure to Market Fear}, journal = {Journal of Financial Stability}, volume = {9}, year = {2013}, month = {2013}, pages = {451-459}, keywords = {Finance}, author = {Chira,Inga and Madura,I. and Viale,A.} } @article {1970266, title = {The Impact of Governance Characteristics on the Stock Price of Cross Listed Companies}, journal = {Journal of Economics and Finance}, year = {2013}, month = {2013}, keywords = {Finance}, author = {Chira,Inga} } @article {1970261, title = {Impact of the Galleon Case on Informed Trading Before Merger Announcements}, journal = {Journal of Financial Research}, volume = {36}, year = {2013}, month = {2013}, pages = {325-347}, keywords = {Finance}, author = {Chira,Inga and Madura,J.} } @article {1970271, title = {Can Undergraduate Students Make Optimal Decisions about Student Loans?}, journal = {Journal of Economics and Finance Education}, volume = {11}, year = {2011}, month = {2011}, pages = {1-14}, keywords = {Finance}, author = {Chira,Inga and Chiang,E. and Houmes,R.} } @article {1970276, title = {The Valuation Effect of Accounting Standard 158 on Firms with High and Low Financial Risk}, journal = {Atlantic Economic Journal}, volume = {39}, year = {2011}, month = {2011}, pages = {47-57}, keywords = {Finance}, author = {Houmes,B. and Chira,Inga and Boylan,B.} }