CEO pay slice as a measure of CEO dominance M Zagonov, G Salganik-Shoshan Research in International Business and Finance 45, 571-576, 2018 | 35 | 2018 |
Public real estate and the term structure of interest rates: a cross-country study A Akimov, S Stevenson, M Zagonov The Journal of Real Estate Finance and Economics 51, 503-540, 2015 | 25 | 2015 |
Comparing performance sensitivity of retail and institutional mutual funds’ investment flows M Mazur, G Salganik-Shoshan, M Zagonov Finance research letters 22, 66-73, 2017 | 16 | 2017 |
Survivorship bias and comparability of UK open-ended fund databases B Hanke, A Keswani, G Quigley, M Zagonov Economics Letters 172, 110-114, 2018 | 9 | 2018 |
The UK equity market around the ex-split date E Kalotychou, SK Staikouras, M Zagonov Journal of International Financial Markets, Institutions and Money 19 (3 …, 2009 | 8 | 2009 |
The equal-weight tilt in managed portfolios B Hanke, A Keswani, G Quigley, D Stolin, M Zagonov Economics Letters 182, 59-63, 2019 | 5 | 2019 |
Bank Regulations and Interest Rate Risk: An International Perspective M Zagonov, A Keswani, IW Marsh | 4 | 2009 |
Audit quality, banks’ equity risk and cross-country regulations M Zagonov, AK Pettinicchio, G Salganik-Shoshan Economics Bulletin 37 (3), 1666-1687, 2017 | 3 | 2017 |
Active Management in Defined Contribution Plans G Buetow, B Hanke, M Zaganov The Journal of Retirement, forthcoming, 2020 | 2 | 2020 |
Financial intermediation and interest rate risk M Zagonov City University London, 2011 | 2 | 2011 |
Securitization and bank intermediation function M Zagonov 23rd Australasian Finance and Banking Conference, 2010 | 2 | 2010 |
Investor Attention, Lottery Stocks and the Cross-Section of Expected Returns M Zagonov, B Hanke Economics Bulletin 40 (1), 18-34, 2020 | 1 | 2020 |
UK fund returns and sector diversification A Keswani, D Stolin, M Zagonov Economics Bulletin 36 (1), 10-21, 2016 | 1 | 2016 |
Practical Applications of Active Management in Defined Contribution Plans GW Buetow, B Hanke, M Zagonov Practical Applications 8 (2), 1-4, 2020 | | 2020 |
Institutional trading and near-term stock returns B Hanke, G Quigley, D Stolin, M Zagonov Finance 39 (3), 7-43, 2018 | | 2018 |
The Diversification Factor in Mutual Fund Returns B Hanke, A Keswani, G Quigley, D Stolin, M Zagonov Available at SSRN 3021719, 2017 | | 2017 |
Audit quality, ifrs and perceived bank risks under heterogeneous regulations AK Pettinicchio, L Pozza, A Provasoli, M Zagonov Audit quality, ifrs and perceived bank risks under heterogeneous regulations, 2013 | | 2013 |
Audit quality and bank risks under heterogeneous regulations AK Pettinicchio, L Pozza, A Provasoli, M Zaganov Audit quality and bank risks under heterogeneous regulations, 2011 | | 2011 |