Rezaul Kabir

prof.dr., Professor of Corporate Finance and Risk Management

  • 862 Citations
  • 10 h-Index
1994 …2020

Research output per year

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Research Output

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2007

Takeover defenses, ownership structure and stock returns in the Netherlands: An empirical analysis

Kabir, R., Cantrijn, D. & Jeunink, A., 19 Dec 2007, Corporate Governance and Corporate Finance: A European Perspective. van Frederikslust, R. A. I., Ang, J. S. & Sudarsanam, P. S. (eds.). Routledge, p. 647-661 15 p.

Research output: Chapter in Book/Report/Conference proceedingChapterAcademicpeer-review

2006

Corporate financing in the Netherlands: some empirical evidence.

Kabir, M. R., 2006, Advances in Corporate Finance and Asset Pricing. Renneboog, L. (ed.). Amsterdam: Elsevier, p. 365-392 568 p.

Research output: Chapter in Book/Report/Conference proceedingChapterAcademicpeer-review

2000

The price and volatility effects of stock option introductions: A Reexamination

Kabir, M. R., 2000, Research in Banking and Finance. Hasan, I. & Hunter, W. C. (eds.). Emerald Group Publishing Ltd., Vol. 1. p. 261-279 (Research in banking and finance; vol. 1).

Research output: Chapter in Book/Report/Conference proceedingChapterAcademicpeer-review