Selected recent research (2005 to present only; some articles with links)

 
2009
Kam C. Chan, C. Chen, and P. Lung (2009).  Net buying pressure and implied volatility in SP500 index futures options: the effect of market cycles and intraday trading, European Financial Management, forthcoming.

C. Shum, Kam C. Chan, and S. Thapa (2009).  Finance faculty's perception of teaching, research, and services performance evaluations, Journal of Financial Education, forthcoming.

K. Chan, Kam C. Chan, G. Seow, and K. Tam (2009).  Ranking accounting journals using dissertation citations analysis: a research note, Accounting, Organizations, and Society, Volume 34, 875-885.

Kam C. Chan, C. Chang, and Y.L. Lo (2009).  A retrospective evaluation of European Financial Management (1995-2008), European Financial Management, Volume 15, 676-691.

C. Chang, Kam C. Chan, and H. Fung (2009).  Asymmetric money supply shocks and real output in China, China and World Economy, Volume 17, No. 2, 35-44.

Kam C. Chan and K. Liano (2009).  A threshold citation analysis of influential articles, journals, institutions, and researchers in accounting, Accounting and Finance, Volume 49, No. 1, 59-74.

Kam C. Chan, Y. Chang, and P. Lung (2009).   Informed trading under different market conditions and moneyness: evidence from TXO options, Pacific-Basin Finance Journal, Volume 17, No. 2, 189-208.

Kam C. Chan and K. Liano (2009).  Influential articles, journals, and institutions in insurance and risk management, Risk Management and Insurance Review, Volume 12, No. 1, 125-139.

Y. Chen and Kam C. Chan (2009).  Research on Chinese accounting issues: a review and synthesis, Chinese Economy, Volume 41, No. 1, 98-128.

Kam C. Chan, C. Chen, and H. Fung (2009).  Pedigree or placement?  An analysis of research productivity in finance, The Financial Review, Volume 44, No. 1, 87-111.

2008
H. An and Kam C. Chan, (2008).  Credit rating and IPO pricings, Journal of Corporate Finance,  Volume 14, No. 5, 584-595.

Kam C. Chan, H. Fung, and W. Leung (2008).  International business research: coauthorship patters and quality, Journal of Teaching in International Business, Volume 19, No. 3, 293-315.

Kam C. Chan, L. Chan, and W. Trainor (2008).  An inter-fund analysis of bank loan mutual funds, Journal of Personal Finance, Volume 7, No. 2, 48-61.

Kam C. Chan, P. Lung, and E. Wolfe (2008).  Research ranking of finance departments: a threshold citation approach, Advances in Financial Education, Volume 6, Summer, 1-20.

W. Poon and Kam C. Chan (2008).  The effects of credit ratings on stock returns in China, Chinese Economy, Volume 41, No. 2, 34-55.

Kam C. Chan, W.G. Hardin, III, K. Liano, and Zheng Yu (2008).  The internationalization of North American real estate journals, Journal of Real Estate Research, Volume 30, No. 1, 16-31.

W. Poon and Kam C. Chan (2008).  An empirical examination of the informational content of credit ratings in China, Journal of Business Research, Volume 61, No. 7, 790-797.

W.G. Hardin, K. Liano, Kam C. Chan, and R. Fok (2008).  Research achievement and finance editorial board membership, Review of Quantitative Finance and Accounting, Volume 31, No. 3, 225-240.

Kam C. Chan and J. Li (2008). Audit committee and firm value: a cross-sectional analysis, Corporate Governance: An International Review, Volume 16, No. 1, 91-124.


Kam C. Chan and K. Liano (2008).  Ranking of institutions in economic research: a threshold citation approach, Eastern Economic Journal, Volume 34, No. 3, 347-363. 

2007

Kam C. Chan, W. Trainor, Jr, and E. Wolfe (2007). Senior loan funds as a money market alternative, Journal of Investing, Volume 16, No. 4, 108-116.


W.G. Hardin, III, K. Liano, and Kam C. Chan (2007).  A citation proportions evaluation of real estate research, Journal of Real Estate Literature, Volume 15, No. 3, 383-396.

Kam C. Chan, H. Fung, and W. Liu (2007) ed.  China's Capital Market, Edward Elgar Publishing Limited.
 
Kam C. Chan, C. Chen, and L. Cheng (2007). A global ranking of accounting programs and the elite effect in accounting research, Accounting and Finance, Volume 47, No. 2, 187-220.

Kam C. Chan, H. Fung, and S. Thapa (2007).  China financial research: a review and synthesis, International Review of Economics and Finance, Volume 16, No. 3, 416-428.

Kam C. Chan, C. Chen, and P. Lung (2007). One-and-a-half decades of global research output in finance: 1990-2004, Review of Quantitative Finance and Accounting, Volume 28, No. 4, 417-439.


Kam C. Chan and W. Trainor, Jr (2007).  Bank loan funds: investment beyond T-bills, Journal of Financial Planning, Volume  30, No. 2, 60-68.

2006

Y. Chang, Kam C. Chan, and R. Fok (2006). Divergent expectations and closed-end funds: evidence from the post-Asian financial crisis period, Journal of Emerging Markets, Volume 11, No. 2, 5-14.

Kam C. Chan and J. Li (2006).  A First Look at the Finance Research Productivity among Academic Institutions and Authors in China: 1990-2004, Chinese Economy, Volume 39, No. 5, 87-98.

W.G. Hardin, III, K. Liano, and Kam C. Chan (2006).  Influential journals, institutions, and researchers in real estate, Real Estate Economics, Volume 34, No. 3, 457-478.

Kam C. Chan and S. Thapa (2006). A ranking of teaching quality in finance departments based on contributions in financial education literature, Advances in Financial Education, Volume 4, Spring, 89-96.


Kam C. Chan,
H. Fung, and W. Leung (2006).  International business research, trends and school rankings, International Business Review, Volume 15, No. 4, 317-338. 

Note:  This is the second most download paper in ScienceDirect during July to September 2006 (http://top25.sciencedirect.com/index.php?cat_id=9&subject_area_id=4&journal_id=09695931)



Kam C. Chan, C. Chen, and L. Cheng (2006).  A ranking of accounting research output in the European region, Accounting and Business Research, Volume 36, No. 1, 3-17.

C. Brown, Kam C. Chan, and P. Lai (2006).  Marketing journal co-authorships: an empirical analysis of co-author behavior, Journal of Marketing Education, Volume 28, No. 1, 17-25.

Kam C. Chan, L. Cheng, and P. Lung (2006). Testing the net buying pressure hypothesis during the Asian financial crisis: evidence from HSI options, Journal of Financial Research, Volume 29, No. 1, 43-62.

Publications in early years at Journal of Banking and Finance, Financial Practice and Education, Financial Management, Financial Review, Journal of Futures Markets, Journal of Business Finance and Accounting, Journal of Empirical Finance, Journal of Real Estate Research, Journal of Economics and Business, Journal of International Financial Markets, Institutions, and Money, among others.

Last update on August 30, 2009.