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Sami Torstila
Sami Torstila
Associate Professor of Finance, Aalto University
Verified email at aalto.fi - Homepage
Title
Cited by
Cited by
Year
Stock market aversion? Political preferences and stock market participation
M Kaustia, S Torstila
Journal of Financial Economics 100 (1), 98-112, 2011
2492011
The clustering of IPO gross spreads: International evidence
S Torstila
Journal of Financial and Quantitative Analysis 38 (3), 673-694, 2003
1292003
Cross-border relocations of headquarters in Europe
T Laamanen, T Simula, S Torstila
Journal of International Business Studies 43, 187-210, 2012
1232012
Job-related ethical judgment in the finance profession
O Hartikainen, S Torstila
Available at SSRN 561006, 2005
912005
Cross‐listings and M&A activity: Transatlantic evidence
P Tolmunen, S Torstila
Financial Management 34 (1), 123-142, 2005
792005
What determines IPO gross spreads in Europe?
S Torstila
European Financial Management 7 (4), 523-541, 2001
622001
The distribution of fees within the IPO syndicate
S Torstila
Financial Management, 25-43, 2001
552001
Do retail incentives work in privatizations?
M Keloharju, S Knüpfer, S Torstila
The Review of Financial Studies 21 (5), 2061-2095, 2008
442008
The exit rates of liquidated venture capital funds
S Torstila, M Laine
Available at SSRN 417641, 2003
352003
The distribution of information among institutional and retail investors in IPOs
M Keloharju, S Torstila
European Financial Management 8 (3), 357-372, 2002
262002
Stock ownership and political behavior: evidence from demutualizations
M Kaustia, S Knüpfer, S Torstila
Management Science 62 (4), 945-963, 2016
242016
Political preferences and stock market participation
M Kaustia, S Torstila
Helsinki School of Economics working paper, 2008
172008
Entrepreneur debt aversion and financing decisions: Evidence from COVID-19 support programs
M Paaso, V Pursiainen, S Torstila
Proceedings of Paris December 2021 Finance Meeting EUROFIDAI-ESSEC, 2022
152022
Prolonged private equity holding periods: Six years is the new normal
J Joenväärä, J Mäkiaho, S Torstila
Available at SSRN 2872585, 2021
102021
Stock market aversion
M Kaustia, S Torstila
Political preferences and stock, 2011
92011
Risk Management in Finnish Pension Funds: A Survey1
V Puttonen, S Torstila
LTA 1 (03), 31-46, 2003
92003
What Explains the Clustering of IPO Gross Spreads?
S Torstila
32000
Irrevocable commitments and tender offer outcomes
T Fyrqvist, E Rantapuska, S Torstila
Journal of Business Finance & Accounting 48 (7-8), 1290-1331, 2021
22021
Business outlook and financing alternatives of Finnish entrepreneurs during the COVID-19 crisis
M Paaso, V Pursiainen, S Torstila
Nordic Journal of Business, Forthcoming, 2021
22021
Evidence on anchoring to industry multiples in IPO pricing
CS Hundtofte, S Torstila
Available at SSRN 2690869, 2020
22020
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