European Financial Management Association
2021 Annual Meetings
June 30 - July 03, 2021
Hosted by the University of Leeds


Note#1: Session Chairs and Discussants can download papers for the meetings from this page. Authors can update the version of their paper(s) and/or abstract(s) on this webpage later. Please email your paper/abstract directly to: EFMA2021@leeds.ac.uk

Note#2: If you wish your paper to be considered for publication in the EFM journal, convey your interest to your Session Chair.

Presentations: For your presentations at the EFMA2021 Meetings please note that all rooms are equipped with computers. Power Point (USB or CD) and Overhead Projector (transparencies) presentation options are available.

Conference Presentations:
Laptops will be Available in all Rooms for Conference Presentations.


Discussants' Responsibility: To better serve the needs of authors presenting papers at the EFMA2021 meetings, discussants are kindly required to hand out to the authors and the session chair 1-2 pages handwritten comments with their constructive comments.


Accepted Papers & Participants List

A B C D E F G H I J K L M N O P Q R S T U V W X Y Z

Participants

Paper


RICHARD J. TAFFLER, VINEET AGARWAL, MAXIMILIAN OBRING
Narrative Economics and Market Bubbles



       


Eric K. M. Tan, Campbell R. Harvey, Yan Liu, Min Zhu
Crowding: Evidence from Fund Managerial Structure



       


Eric Tham
Sentimental Habits



       


Gary Gang Tian, Dongmin Kong, Jian Zhang, Ling Zhu
Safety Uncertainty, Government Intervention, and Corporate Innovation—Evidence from Terrorist Attacks



       


João Ricardo Faria, Siri Terjesen, Greg Tindall
The Green Tobin’s q: Theory and Evidence



       


A. Todorovic, C. D’Hondt, R. De Winne
Target Return and Negative Interest Rates



       


XUE-ZHONG HE , LEI SHI AND MARCO TOLOTTI
THE SOCIAL VALUE OF INFORMATION UNCERTAINTY



       


José Martí, Gerardo Trucci
Does geographic distance to the premises of the venture capitalist affect the performance of investee firms?



       


Desmond Tsang, Maggie Hu, Wayne Xinwei Wan
Corporate Relocation and Housing Market Spillovers



       


Jose-Maria Serena, Serafeim Tsoukas
International bank lending and corporate debt structure



       


Roberto Tubaldi
Mutual Funds’ Fire Sales and the Real Economy: Evidence from Hurricanes



       


Ahmet M. Tuncez, Caner Gerek
Geographic income diversification of large European banks: better or worse?



       


Anna Constantatos, Anna Merika, Anna Triantafyllou
AN AGENCY EXPLANATION FOR THE FALL OF A TRAVEL AGENCY: THE CASE OF THOMAS COOK



       


Reiko Tobe, Jun Uno
Cover Risk



       


Greg Tindall
Real Effects of Shareholder Proposals: Diversification in the Context of Climate Change



       


Ming Shann Tsai
Valuation of Mortgages by Using Lévy Models to Specify the State Variables for the Termination-Hazard and Recovery Rates



       


Eliezer M. Fich, Jarrad Harford, Anh L. Tran
Disloyal managers and shareholders’ wealth