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David Johnk
David Johnk
Assistant Professor of Finance - Rogers State University
Verified email at rsu.edu
Title
Cited by
Cited by
Year
Foreign portfolio investment inflows to the United States: The impact of investor risk aversion and US stock market performance
PV Egly, DW Johnk, D Perez Liston
North American Journal of Finance and Banking Research 4 (4), 25, 2010
422010
Bank net interest margins, the yield curve, and the 2007–2009 financial crisis
PV Egly, DW Johnk, AV Mollick
Review of Financial Economics 36 (1), 12-32, 2018
172018
The impact of government intervention on the stabilization of domestic financial markets and on US banks’ asset composition
PV Egly, D Escobari, DW Johnk
Journal of Economics and Finance 40, 683-713, 2016
142016
Time-varying market price of risk and investor sentiment: Evidence from a multivariate GARCH model
D W. Johnk, G Soydemir
Journal of behavioral finance 16 (2), 105-119, 2015
142015
The impact of securitization and bank liquidity shocks on bank lending: Evidence from the US
PV Egly, D Jackson, DW Johnk
Banking and Finance Review, 55, 2015
52015
: can lenders really expect high returns?
DW Johnk
International Journal of Services and Standards 8 (2), 133-156, 2012
42012
A Comparison: Traditional canonical correlation analysis versus the MIMIC/SEM approach using a multi-group study of corporate size versus profitability
DW Johnk
22009
Essays on time-varying risk and investor sentiment: Evidence from the US And G-7 countries using multivariate GARCH modeling
DW Johnk
The University of Texas-Pan American, 2012
12012
Bank Equity Returns and Oil Prices: The Story from US Regional Banks during the “Shale Oil” Revolution
AV Mollick, RN Killins, PV Egly, DW Johnk
Research in International Business and Finance, 102334, 2024
2024
Modeling New Privately Owned Housing Units Started in The United States: A VAR Approach
DP Liston, DW Johnk
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