The informational relevance of corporate social responsibility: evidence from DS400 index reconstitutions S Ramchander, RG Schwebach, KIM Staking Strategic Management Journal 33 (3), 303-314, 2012 | 319 | 2012 |
Insurance futures and hedging insurance price risk SH Cox, RG Schwebach Journal of Risk and Insurance, 628-644, 1992 | 107 | 1992 |
WEBS, SPDRs, and country funds: an analysis of international cointegration JP Olienyk, RG Schwebach, J Kenton Zumwalt Journal of Multinational Financial Management 9 (3), 217-232, 1999 | 56 | 1999 |
Syndicated loan announcements and borrower value D Gasbarro, KS Le, RG Schwebach, JK Zumwalt Journal of Financial Research 27 (1), 133-141, 2004 | 42 | 2004 |
The impact of financial crises on international diversification RG Schwebach, JP Olienyk, JK Zumwalt Global Finance Journal 13 (2), 147-161, 2002 | 41 | 2002 |
The response of bank share prices to securitization announcements D Gasbarro, M Stevenson, RG Schwebach, JK Zumwalt Quarterly Journal of Business and Economics, 89-105, 2005 | 25 | 2005 |
Comparing mean reverting versus pure diffusion interest rate processes in valuing postponement options RW Spahr, RG Schwebach The Quarterly Review of Economics and Finance 38 (3), 579-598, 1998 | 9 | 1998 |
Comparing Mean Reverting Versus Pure Diffusion Interest Rate Processes in Valuing Postponement Options RW Spahr, RG Schwebach Quarterly Review of Economics and Finance 38, 579-598, 1998 | 9 | 1998 |
An analysis of syndicated loan announcements during the global financial crisis D Gasbarro, KS Le, RG Schwebach, JK Zumwalt Journal of Financial Research 40 (4), 535-565, 2017 | 5 | 2017 |
Using world equity benchmark shares to achieve international diversification JP Olienyk, RG Schwebach, JK Zumwalt JOURNAL OF FINANCIAL PLANNING-DENVER- 13 (6), 98-113, 2000 | 5 | 2000 |
Original‐Issue Systematic and Default Risk Pricing Efficiency of Speculative‐Grade Bonds RW Spahr, RG Schwebach, MA Sunderman Journal of Risk and Insurance 69 (4), 489-516, 2002 | 3 | 2002 |
Low-Cost Multinational Acquisition Financing Using Collateralized Corporate Obligations J Davis, DP Samelson, RG Schwebach, RV Switzer The Journal of Private Equity 14 (4), 21-32, 2011 | 1 | 2011 |
The Effect of Serial Dependence on Multiperiod Holding Period Return Performance RW Spahr, RG Schwebach Financial Review 36 (4), 49-74, 2001 | 1 | 2001 |
Per Unit Cost Allocation of Invested Capital With Anticipated Non-level Production: The Case of Extractive Industries RW SPAHR, RG SCHWEBACH, FAP III The Engineering Economist 44 (4), 332-347, 1999 | 1 | 1999 |
The Informational Relevance of Strategic Corporate Social Responsibility S Ramchander, RG Schwebach, KB Staking | 1* | |
Comparative Value-Relevance of GAAP, IBES, S&P Core, Cash Earnings and Cash Flows ST Teh, G Monroe, D Gasbarro, R Schwebach IBES, S&P Core, Cash Earnings and Cash Flows (January 3, 2013), 0 | 1* | |
Market response to syndicated loan announcements from high‐profile failed and acquiring banks during the global financial crisis D Gasbarro, KS Le, RG Schwebach, JK Zumwalt Accounting & Finance 60 (1), 435-470, 2020 | | 2020 |
Market Response to Syndicated Loan Announcements During the Global Financial Crisis: Failed vs. Acquiring Banks D Gasbarro, KS Le, R Schwebach, JK Zumwalt 31st Australasian Finance and Banking Conference, 2018 | | 2018 |
Financing and Investment Flexibility Intrinsic in Revolving Credit Loans KS Le, D Gasbarro, JK Zumwalt, RG Schwebach | | 2009 |
A macro-finance explanation for standard of living differences between Russia and the United States: economic policy implications, association for studies in public economics R Spahr, R Schwebach, M Ashraf, N Scannell The Fifth International Conference on Public Sector Transition, 2002 | | 2002 |