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Kees C. G. Koedijk

Kees C. G. Koedijk

D-Index & Metrics

Economics and Finance

D-Index
46
Citations
12348
World Ranking
1641
National Ranking
47

Overview

Kees C. G. Koedijk is affiliated with Tilburg University in the Netherlands. Their research spans multiple areas within economics, econometrics, and finance, with significant contributions also in business, management, and accounting. Their main fields of study are Economics, Econometrics and Finance, with 68 publications, and Business, Management and Accounting, with 35 publications. The subfields include Economics and Econometrics, Finance, Accounting, Strategy and Management, and General Economics, Econometrics and Finance.

The scientist's work has focused on several key topics:

  • Financial Markets and Investment Strategies
  • Market Dynamics and Volatility
  • Corporate Finance and Governance
  • Complex Systems and Time Series Analysis
  • International Business and Foreign Direct Investment (FDI)
  • Private Equity and Venture Capital
  • Corporate Social Responsibility Reporting

Kees C. G. Koedijk has published extensively across various academic journals. Their most frequent publication venues include:

  • SSRN Electronic Journal
  • The Journal of Portfolio Management
  • Journal of International Money and Finance
  • Finance Research Letters
  • European Financial Management

Some of the recent papers authored or co-authored by the scientist include:

  • Unintended consequences of compensation peer groups on corporate innovation, 2022, Journal of Corporate Finance
  • Institutional investor sentiment and aggregate stock returns, 2020, European Financial Management
  • Valuation effect of capital account liberalization: Evidence from the Chinese stock market, 2020, Journal of International Money and Finance
  • U.S.-China trade war and corporate reallocation: Evidence from Chinese listed companies, 2022, World Economy
  • Corporate SDG performance and investor trading behavior, 2024, Finance Research Letters

The scientist frequently collaborates with several co-authors, including Xiang Gao, Zhang-HangJian Chen, Yuan-Teng Hsu, Jeroen Derwall, and Zhan Wang. Among these, collaborations with Xiang Gao are the most numerous.

Best Publications

  • The Eco-Efficiency Premium Puzzle

    Jeroen Derwall;Nadja Guenster;Rob Bauer;Kees Koedijk

  • Corporate Finance In Europe Confronting Theory With Practice

    Dirk Brounen;Abe de Jong;Kees Koedijk

  • The Economic Value of Corporate Eco‐Efficiency

    Nadja Guenster;Rob Bauer;Jeroen Derwall;Kees Koedijk

  • Capital Structure Policies in Europe: Survey Evidence

    Dirk Brounen;Abe de Jong;Kees Koedijk;Kees Koedijk

  • A tale of values-driven and profit-seeking social investors.

    Jeroen Derwall;Jeroen Derwall;Kees Koedijk;Kees Koedijk;Kees Koedijk;Jenke Ter Horst

  • Optimal Portfolio Selection in a Value-at-Risk Framework

    Rachel Campbell;Ronald Huisman;Kees Koedijk

  • Selecting Copulas for Risk Management

    Erik Kole;Kees Koedijk;Kees Koedijk;Marno Verbeek

  • Increased Correlation in Bear Markets

    Rachel Campbell;Kees Koedijk;Paul Kofman

  • The tail index of exchange rate returns

    Kees G. Koedijk;Marcia M.A. Schafgans;Casper G. de Vries

  • Tail-Index Estimates in Small Samples

    Unknown

  • International Evidence on Ethical Mutual Fund Performance and Investment Style

    Rogér Otten;Rob Bauer;Kees C. G. Koedijk

  • Quote Disclosure and Price Discovery in Multiple-Dealer Financial Markets

    Unknown

  • Socially Responsible Fixed-Income Funds

    Jeroen Derwall;Jeroen Derwall;Kees Koedijk

  • Do social factors influence investment behavior and performance? Evidence from mutual fund holdings

    Arian Borgers;Jeroen Derwall;Jeroen Derwall;Kees Koedijk;Kees Koedijk;Jenke ter Horst

  • VaR-x: fat tails in financial risk management

    Ronald Huisman;Kees G. Koedijk;Rachel A.J. Pownall

  • Continental Factors in International Real Estate Returns

    Piet Eichholtz;Ronald Huisman;Kees Koedijk;Lisa Schuin

  • Household financial planning and savings behavior

    Dirk Brounen;Kees G. Koedijk;Rachel A.J. Pownall

  • Stakeholder relations and stock returns: On errors in investors' expectations and learning

    Arian Borgers;Jeroen Derwall;Jeroen Derwall;Kees Koedijk;Kees Koedijk;Jenke ter Horst

  • Safety First Portfolio Selection, Extreme Value Theory and Long Run Asset Risks

    Laurens de Haan;Dennis W. Jansen;Kees Koedijk;Casper G. de Vries

  • The Economic Value of Corporate Eco-Efficiency

    Rob Bauer;Nadja Guenster;Nadja Guenster;Jeroen Derwall;Jeroen Derwall;Kees C. G. Koedijk

  • The Eco-Efficiency Premium Puzzle

    Jeroen Derwall;Jeroen Derwall;Rob Bauer;Nadja Guenster;Nadja Guenster;Kees C. G. Koedijk

  • Selecting Copulas for Risk Management

    Erik Kole;Erik Kole;Erik Kole;Marno Verbeek;Marno Verbeek;Kees C. G. Koedijk

Frequent Co-Authors

Marno Verbeek
Marno Verbeek Erasmus University Rotterdam
Rob Bauer
Rob Bauer Maastricht University
Casper G. de Vries
Casper G. de Vries Erasmus University Rotterdam
Sylvester C. W. Eijffinger
Sylvester C. W. Eijffinger Tilburg University
Meir Statman
Meir Statman Santa Clara University
Piet Eichholtz
Piet Eichholtz Maastricht University
Abe de Jong
Abe de Jong Monash University
Jakob de Haan
Jakob de Haan University of Groningen
Mark Wooden
Mark Wooden University of Melbourne
Ailsa Röell
Ailsa Röell Columbia University

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