Is performance driven by industry‐or firm‐specific factors? A new look at the evidence G Hawawini, V Subramanian, P Verdin Strategic management journal 24 (1), 1-16, 2003 | 1295 | 2003 |
Friction in the trading process and the estimation of systematic risk KJ Cohen, GA Hawawini, SF Maier, RA Schwartz, DK Whitcomb Journal of Financial Economics 12 (2), 263-278, 1983 | 515 | 1983 |
The future of business schools G Hawawini Journal of Management Development 24 (9), 770-782, 2005 | 363 | 2005 |
Finance for executives: Managing for value creation G Hawawini, C Viallet Cengage Learning Emea, 2019 | 308 | 2019 |
Implications of microstructure theory for empirical research on stock price behavior KJ Cohen, GA Hawawini, SF Maier, RA Schwartz, DK Whitcomb The Journal of Finance 35 (2), 249-257, 1980 | 308 | 1980 |
On the predictability of common stock returns: World-wide evidence G Hawawini, DB Keim Handbooks in operations research and management science 9, 497-544, 1995 | 299 | 1995 |
Estimating and adjusting for the intervalling-effect bias in beta KJ Cohen, GA Hawawini, SF Maier, RA Schwartz, DK Whitcomb Management science 29 (1), 135-148, 1983 | 258 | 1983 |
Mergers and acquisitions in the US banking industry: Evidence from the capital markets GA Hawawini, I Swary (No Title), 1990 | 253* | 1990 |
Industry influence on corporate working capital decisions G Hawawini, C Viallet, A Vora | 238 | 1986 |
Seasonality in the Risk‐Return relationship: some international evidence A Corhay, G Hawawini, P Michel The Journal of Finance 42 (1), 49-68, 1987 | 182 | 1987 |
Selected Chapters from Finance for Executives GA Hawawini, C Viallet, P Laux South Western/Thomson Learning, 2002 | 168 | 2002 |
The cross section of common stock returns: A review of the evidence and some new findings G Hawawini, DB Keim INSEAD, 1999 | 167 | 1999 |
Why beta shifts as the return interval changes G Hawawini Financial analysts journal 39 (3), 73-77, 1983 | 163 | 1983 |
The internationalization of higher education institutions: A critical review and a radical proposal G Hawawini INSEAD working paper, 2011 | 159 | 2011 |
The home country in the age of globalization: how much does it matter for firm performance? G Hawawini, V Subramanian, P Verdin Journal of World Business 39 (2), 121-135, 2004 | 150 | 2004 |
Intertemporal cross-dependence in securities daily returns and the short-run intervaling effect on systematic risk GA Hawawini Journal of Financial and Quantitative Analysis 15 (1), 139-149, 1980 | 108 | 1980 |
Finanse menedżerskie: kreowanie wartości dla akcjonariuszy GA Hawawini, C Viallet Polskie Wydawnictwo Ekonomiczne, 2007 | 107 | 2007 |
European equity markets: Price behavior and efficiency GA Hawawini (No Title), 1984 | 97 | 1984 |
The internationalization of higher education and business schools: A critical review G Hawawini Springer, 2016 | 95 | 2016 |
A mean-standard deviation exposition of the theory of the firm under uncertainty: a pedagogical note GA Hawawini The American Economic Review 68 (1), 194-202, 1978 | 85 | 1978 |