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Group by: Official Date | Item Type | Funder | No Grouping
Jump to: 2019 | 2017 | 2016 | 2015 | 2014 | 2013 | 2010 | 2009 | 2008 | 2006 | 2005 | 2004 | 2003 | 2002
Number of items: 26.

2019

Rubin, Amir and Segal, Dan (2019) Directors skill and financial reporting quality. Journal of Business Finance & Accounting, 46 (3-4). pp. 457-493. doi:10.1111/jbfa.12359

2017

Rubin, Amir, Segal, Benjamin and Segal, Dan (2017) The Interpretation of unanticipated news arrival and analysts’ skill. Journal of Financial and Quantitative Analysis, 52 (4). pp. 1491-1518. doi:10.1017/S0022109017000539

2016

Segal, Benjamin and Segal, Dan (2016) Are managers strategic in reporting non-earnings news? Evidence on timing and news bundling. Review of Accounting Studies, 21 (4). pp. 1203-1244. doi:10.1007/s11142-016-9366-y

Bhat, Gauri, Callen, Jeffrey L. and Segal, Dan (2016) Testing the transparency implications of mandatory IFRS adoption : the spread/maturity relation of credit default swaps. Management Science, 62 (12). pp. 3472-3493. doi:10.1287/mnsc.2015.2318

2015

Rubin, Amir and Segal, Dan (2015) The effects of economic growth on income inequality in the US. Journal of Macroeconomics, 45 . pp. 258-273. doi:10.1016/j.jmacro.2015.05.007

2014

Bhat, Gauri, Callen, Jeffrey L. and Segal, Dan (2014) Credit risk and IFRS : the case of credit default swaps. Journal of Accounting, Auditing & Finance, 29 (2). pp. 129-162. doi:10.1177/0148558X14521205

2013

Callen, Jeffrey L. and Segal, Dan (2013) An analytical and empirical measure of the degree of conditional conservatism. Journal of Accounting, Auditing & Finance, 28 (3). pp. 215-242. doi:10.1177/0148558X13491034

2010

Callen, Jeffrey L., Gavious, Ilanit and Segal, Dan (2010) The complementary relationship between financial and non-financial information in the biotechnology industry and the degree of investor sophistication. Journal of Contemporary Accounting & Economics, 6 (2). pp. 61-76. doi:10.1016/j.jcae.2010.09.001

Callen, Jeffrey L., Segal, Dan and Hope, Ole-Kristian (2010) The pricing of conservative accounting and the measurement of conservatism at the firm-year level. Review of Accounting Studies, 15 (1). pp. 145-178. doi:10.1007/s11142-009-9087-6

Callen, Jeffrey L. and Segal, Dan (2010) A variance decomposition primer for accounting research. Journal of Accounting, Auditing & Finance, 25 (1). pp. 121-142. doi:10.1177/0148558X1002500105

2009

Callen, Jeffrey L., Livnat, Joshua and Segal, Dan (2009) The impact of earnings on the pricing of credit default swaps. The Accounting Review, 84 (5). pp. 1363-1394.

2008

Callen, Jeffrey L., Robb, Sean W. G. and Segal, Dan (2008) Revenue manipulation and restatements by loss firms. Auditing : A Journal of Practice & Theory, 27 (2). pp. 1-29. doi:10.2308/aud.2008.27.2.1

King, Michael R. and Segal, Dan (2008) Market segmentation and equity valuation : comparing Canada and the United States. Journal of International Financial Markets, Institutions and Money, 18 (3). pp. 245-258. doi:10.1016/j.intfin.2006.10.003

King, Michael R. and Segal, Dan (2008) The long-term effects of cross-listing, investor recognition, and ownership structure on valuation. Review of Financial Studies, 22 (6). pp. 2393-2421. doi:10.1093/rfs/hhn050

Segal, Dan and King, Michael (2008) Which Canadian firms benefit most from cross-listing on a U.S. stock exchange? Canadian Investment Review . pp. 24-30.

2006

Callen, Jeffrey L., Livnat, Joshua and Segal, Dan (2006) The information content of SEC filings and information environment : a variance decomposition analysis. The Accounting Review, 81 (5). pp. 1017-1043.

Callen, Jeffrey L., Livnat, Joshua and Segal, Dan (2006) Accounting restatements : are they always bad news for investors? The Journal of Investing, 15 (3). pp. 57-68. doi:10.3905/joi.2006.650145

2005

Callen, Jeffrey L., Hope, Ole-Kristian and Segal, Dan (2005) Domestic and foreign earnings, stock return variability, and the impact of investor sophistication. Journal of Accounting Research, 43 (3). pp. 377-412. doi:10.1111/j.1475-679x.2005.00175.x

Callen, Jeffrey L. and Segal, Dan (2005) Empirical tests of the Feltham–Ohlson (1995) model. Review of Accounting Studies, 10 (4). pp. 409-429. doi:10.1007/s11142-005-4208-3

2004

Callen, Jeffrey L. and Segal, Dan (2004) Do accruals drive firm-level stock returns? A variance decomposition analysis. Journal of Accounting Research, 42 (3). pp. 527-560. doi:10.1111/j.1475-679X.2004.t01-1-00140.x

King, Michael and Segal, Dan (2004) International cross-listing and the bonding hypothesis. Working Paper. Bank of Canada. Bank of Canada Working Paper 2004-17 .

Greene, William H. and Segal, Dan (2004) Profitability and efficiency in the U.S. life insurance industry. Journal of Productivity Analysis, 21 (3). pp. 229-247. doi:10.1023/B:PROD.0000022092.70204.fa

2003

King, Michael and Segal, Dan (2003) Valuation of Canadian- vs. U.S.-listed equity : is there a discount? Working Paper. Bank of Canada. Bank of Canada Working Paper 2003-6 .

Segal, Dan (2003) A multi-product cost study of the U.S. life insurance industry. Review of Quantitative Finance and Accounting, 20 (2). pp. 169-186. doi:10.1023/A:1023098109619

Segal, Dan and King, Michael (2003) Corporate governance, international cross listing and home bias. Canadian Investment Review . pp. 8-19.

2002

Segal, Dan (2002) An economic analysis of life insurance company expenses. North American Actuarial Journal, 6 (4). pp. 81-94. doi:10.1080/10920277.2002.10596066

This list was generated on Thu Dec 5 14:34:30 2019 GMT.
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