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Gabriel Hawawini
Gabriel Hawawini
Professor of Finance, INSEAD
Verified email at insead.edu
Title
Cited by
Cited by
Year
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
12822003
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
5061983
The future of business schools
G Hawawini
Journal of Management Development 24 (9), 770-782, 2005
3592005
Finance for executives: Managing for value creation
G Hawawini, C Viallet
Cengage Learning Emea, 2019
3172019
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
3031980
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
2961995
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
2531983
Mergers and acquisitions in the US banking industry: Evidence from the capital markets
GA Hawawini, I Swary
(No Title), 1990
250*1990
Industry influence on corporate working capital decisions
G Hawawini, C Viallet, A Vora
2411986
Seasonality in the Risk‐Return relationship: some international evidence
A Corhay, G Hawawini, P Michel
The Journal of Finance 42 (1), 49-68, 1987
1791987
Selected Chapters from Finance for Executives
GA Hawawini, C Viallet, P Laux
South Western/Thomson Learning, 2002
1642002
Why beta shifts as the return interval changes
G Hawawini
Financial analysts journal 39 (3), 73-77, 1983
1641983
The cross section of common stock returns: A review of the evidence and some new findings
G Hawawini, DB Keim
INSEAD, 1999
1631999
The internationalization of higher education institutions: A critical review and a radical proposal
G Hawawini
INSEAD working paper, 2011
1502011
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
1492004
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
1131980
Finanse menedżerskie: kreowanie wartości dla akcjonariuszy
GA Hawawini, C Viallet
Polskie Wydawnictwo Ekonomiczne, 2007
1062007
European equity markets: Price behavior and efficiency
GA Hawawini
(No Title), 1984
961984
The internationalization of higher education and business schools: A critical review
G Hawawini
Springer, 2016
892016
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
861978
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Articles 1–20