Research

Items by Fairchild, Richard

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Number of items: 21.

Book Sections

Fairchild, R. and Yalabik, B., 2011. Agame-theoretic analysis of environmental behaviour at the corporate and global level. In: Mancuso, R.T., ed. Environmental Cost Management. Nova Science, pp. 167-202.

Articles

Fairchild, R., Guney, Y. and Thanatawee, Y., 2014. Corporate dividend policy in Thailand : theory and evidence. International Review of Financial Analysis, 31, pp. 129-151.

Fairchild, R., 2013. Beyond stupid. New Scientist, 218 (2913), p. 32.

Fairchild, R., 2012. Irrational markets. New Scientist, 215 (2880), p. 30.

Yalabik, B. and Fairchild, R. J., 2011. Customer, regulatory, and competitive pressure as drivers of environmental innovation. International Journal of Production Economics, 131 (2), pp. 519-527.

Fairchild, R., 2011. An entrepreneur's choice of venture capitalist or angel-financing : a behavioral game-theoretic approach. Journal of Business Venturing, 26 (3), pp. 359-374.

Guney, Y., Li, L. and Fairchild, R. J., 2011. The relationship between product market competition and capital structure in Chinese listed firms. International Review of Financial Analysis, 20 (1), pp. 41-51.

Fairchild, R., 2010. Behavioural corporate finance : existing research and future directions. International Journal of Behavioural Accounting and Finance, 1 (4), pp. 277-293.

Fairchild, R. J., 2008. The manufacturing sector's environmental motives : a game-theoretic analysis. Journal of Business Ethics, 79 (3), pp. 333-344.

Cai, K., Fairchild, R. and Guney, Y., 2008. Debt maturity structure of Chinese companies. Pacific-Basin Finance Journal, 16 (3), pp. 268-297.

Fairchild, R., 2006. Investor protection, share repurchases, irrationality and agency conflicts : the implications for corporate governance. Corporate Ownership and Control, 4 (1).

Fairchild, R., 2006. When do share repurchases increase shareholder wealth? Journal of Applied Finance, 16 (1), pp. 31-36.

Fairchild, R., 2005. Behavioral finance in a principal-agent model of capital budgeting. ICFAI Journal of Behavioral Finance, 2 (1).

Fairchild, R. and Zhang, G., 2005. Investor irrationality and optimal open-market share repurchasing. ICFAI Journal of Behavioural Finance, 2 (3).

Fairchild, R., 2005. The effect of managerial overconfidence, asymmetric information, and moral hazard on capital structure decisions. ICFAI Journal of Behavioral Finance, 2 (4).

Fairchild, R., 2004. Financial contracting between managers and venture capitalists : the role of value-added services, reputation seeking and bargaining power. The Journal Of Financial Research, 27 (4), pp. 481-495.

Fairchild, R., 2003. Conflicts between managers and investors over the optimal financial contract. International Journal of Business and Economics, 2 (3).

Fairchild, R., 2003. Dividend smoothing and optimal re-investment. Managerial Finance, 29 (11), pp. 35-48.

Fairchild, R., 2002. Financial risk management : is it a value-adding activity? Balance Sheet, 10 (4), pp. 22-25.

Reports/Papers

Fairchild, R., 2007. Managing overconfidence, agency problems, financing decisions and firm performance. Working Paper.

Fairchild, R., 2007. Audit tenure, report qualification, and fraud. Working Paper.

This list was generated on Thu Apr 17 19:38:31 2014 IST.