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Sunil Mohanty
Sunil Mohanty
Brooklyn College
Verified email at brooklyn.cuny.edu
Title
Cited by
Cited by
Year
COVID-19 and stock market volatility: An industry level analysis
S Baek, SK Mohanty, M Glambosky
Finance research letters 37, 101748, 2020
6272020
Oil price movements and stock market returns: Evidence from Gulf Cooperation Council (GCC) countries
SK Mohanty, M Nandha, AQ Turkistani, MY Alaitani
Global Finance Journal 22 (1), 42-55, 2011
3702011
The impact of landfills on residential property values
A Reichert, M Small, S Mohanty
Journal of Real Estate Research 7 (3), 297-314, 1992
1671992
Oil risk exposure: The case of the US oil and gas sector
SK Mohanty, M Nandha
Financial review 46 (1), 165-191, 2011
1632011
Do banks follow their customers abroad?
R Seth, DE Nolle, SK Mohanty
Financial Markets, Institutions & Instruments 7 (4), 1-25, 1998
1561998
Are survey forecasts of macroeconomic variables rational?
R Aggarwal, S Mohanty, F Song
Journal of Business, 99-119, 1995
1351995
Capital budgeting practices: A survey of Central and Eastern European firms
G Andor, SK Mohanty, T Toth
Emerging Markets Review 23, 148-172, 2015
1302015
Oil shocks and stock returns: The case of the Central and Eastern European (CEE) oil and gas sectors
S Mohanty, M Nandha, G Bota
Emerging Markets Review 11 (4), 358-372, 2010
1242010
Oil price shocks and transportation firm asset prices
R Aggarwal, A Akhigbe, SK Mohanty
Energy Economics 34 (5), 1370-1379, 2012
1052012
Dynamic co-integration and portfolio diversification of Islamic and conventional indices: Global evidence
A Abu-Alkheil, WA Khan, B Parikh, SK Mohanty
The Quarterly Review of Economics and Finance 66, 212-224, 2017
692017
Oil price risk exposure: The case of the US travel and leisure industry
S Mohanty, M Nandha, E Habis, E Juhabi
Energy Economics 41, 117-124, 2014
672014
Oil and stock market activity when prices go up and down: the case of the oil and gas industry
SK Mohanty, A Akhigbe, TA Al-Khyal, T Bugshan
Review of Quantitative Finance and Accounting 41, 253-272, 2013
672013
Deregulation and the Opportunities for Commercial Bank Diversification
LD Wall, AK Reichert, S Mohanty
Federal Reserve Bank of Atalanta Economic Review, 1993
661993
Disciplinary tools and bank risk exposure
M Haq, R Faff, R Seth, S Mohanty
Pacific-Basin Finance Journal 26, 37-64, 2014
622014
Banking efficiency in Gulf Cooperation Council (GCC) countries: A comparative study
SK Mohanty, HJ Lin, EA Aljuhani, HJ Bardesi
Review of Financial Economics 31, 99-107, 2016
462016
Oil shocks and equity returns: an empirical analysis of the US transportation sector
SK Mohanty, M Nandha
Review of Pacific Basin Financial Markets and Policies 14 (01), 101-128, 2011
392011
Geographic deregulation and competition in the US banking industry
HS Yildirim, SK Mohanty
Financial Markets, Institutions & Instruments 19 (2), 63-94, 2010
352010
Information asymmetry about investment risk and financing choice
M Baxamusa, S Mohanty, RP Rao
Journal of Business Finance & Accounting 42 (7-8), 947-964, 2015
292015
The effect of the Federal Deposit Insurance Corporation Improvement Act of 1991 on bank stocks
Y Liang, S Mohanty, F Song
Journal of Financial Research 19 (2), 229-242, 1996
291996
Measuring cost efficiency in presence of heteroskedasticity: The case of the banking industry in Taiwan
SK Mohanty, WT Lin, HJ Lin
Journal of International Financial Markets, Institutions and Money 26, 77-90, 2013
232013
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