Citation Impact

Citing Papers

Anticompetitive Effects of Common Ownership
2018 Standout
Digital transformation: A multidisciplinary reflection and research agenda
2019 Standout
Carbon Risk, Carbon Risk Awareness and the Cost of Debt Financing
2016 Standout
How a Firm’s Competitive Environment and Digital Strategic Posture Influence Digital Business Strategy1
2013
Climate risks and market efficiency
2018
Uncertainty about Government Policy and Stock Prices
2012 Standout
Business value of social media technologies: Evidence from online user innovation communities
2015
Government Spending, Political Cycles and the Cross Section of Stock Returns
2011
Climate Regulatory Risk and Corporate Bonds
2022
Implications for GAAP from an analysis of positive research in accounting
2015
Understanding earnings quality: A review of the proxies, their determinants and their consequences
2010 Standout
The supraview of return predictive signals
2013
Robust Inference With Multiway Clustering
2011 Standout
What explains the dynamics of 100 anomalies?
2015
Do Industries Lead the Stock Market? Gradual Diffusion of Information and Cross-Asset Return Predictability
2003
Implications for GAAP from an analysis of positive research in accounting
2010
Digital Business Strategy: Toward a Next Generation of Insights
2013 Standout
The evolution of 10-K textual disclosure: Evidence from Latent Dirichlet Allocation
2017 Standout
Home Bias Abroad: Domestic Industries and Foreign Portfolio Choice
2017
Short‐Selling Risk
2017
Firms and social responsibility: A review of ESG and CSR research in corporate finance
2021 Standout
The Pollution Premium
2020
What Determines Productivity?
2011 Standout
Limited attention, information disclosure, and financial reporting
2003 Standout
Is Accruals Quality a Priced Risk Factor?
2007
Technology acceptance theories and factors influencing artificial Intelligence-based intelligent products
2019 Standout
Size, value, and momentum in international stock returns
2012 StandoutNobel
Corporate social performance, analyst stock recommendations, and firm future returns
2013
ICT-based innovation and its competitive outcome: the role of information intensity
2018
Scale Without Mass: Business Process Replication and Industry Dynamics
2008
Analyst Information Discovery and Interpretation Roles: A Topic Modeling Approach
2017 Standout
Business sustainability performance and cost of equity capital
2015
Government spending, political cycles, and the cross section of stock returns
2012
Product Market Competition, Insider Trading, and Stock Market Efficiency
2010
The Effect of Quarterly Report Readability on Information Efficiency of Stock Prices*
2011
Measuring the response of gold prices to uncertainty: An analysis beyond the mean
2018
Oil price shocks, policy uncertainty, and stock returns of oil and gas corporations
2016 Standout
Do Directors Drive Corporate Sustainability?
2020
The Impact of Venture Capital Investments on Industry Performance
2008
Corporate social responsibility and access to finance
2013 Standout
Accruals, Investment, and the Accrual Anomaly
2007
Corporate green bonds
2021 Standout
In Search of Attention
2011 Standout
The relevance of environmental disclosures: Are such disclosures incrementally informative?
2013
Antecedents, consequences, and challenges of small and medium-sized enterprise digitalization
2020 Standout
Estimating Standard Errors in Finance Panel Data Sets: Comparing Approaches
2008 Standout
Accounting Information, Disclosure, and the Cost of Capital
2007 Standout
Deep learning with long short-term memory networks for financial market predictions
2017 Standout
The Characteristics that Provide Independent Information about Average U.S. Monthly Stock Returns
2017
Stock Prices and the Russia-Ukraine War: Sanctions, Energy and ESG
2022
On the use of instrumental variables in accounting research
2009 Standout
Measuring Economic Policy Uncertainty*
2016 Standout
A new approach to predicting analyst forecast errors: Do investors overweight analyst forecasts?
2013
Does corporate governance matter in competitive industries?
2009
Textual Analysis in Accounting and Finance: A Survey
2016 Standout
Twitter mood predicts the stock market
2011 Standout
The financial contribution of customer-oriented marketing capability
2013
The Signaling Effect of Corporate Social Responsibility in Emerging Economies
2014 Standout
The Importance of Climate Risks for Institutional Investors
2019 Standout
Unveiling the impact of the adoption of digital technologies on firms’ innovation performance
2021 Standout
Is accruals quality a priced risk factor?
2007
What are the categories of geopolitical risks that could drive oil prices higher? Acts or threats?
2019 Standout
Understanding digital transformation: A review and a research agenda
2019 Standout
Climate Risk and Capital Structure
2019
Which Firms Follow the Market? An Analysis of Corporate Investment Decisions
2010
How does financial reporting quality relate to investment efficiency?
2009 Standout
Mirror, mirror on the wall: a comparative evaluation of composite-based structural equation modeling methods
2017 Standout
All That Glitters: The Effect of Attention and News on the Buying Behavior of Individual and Institutional Investors
2007 Standout
Measuring Uncertainty
2015 Standout
Integración de los mercados financieros Latinoamericanos por medio de MILA
2020 Standout
Emotion and Decision Making
2014 Standout
Dissecting Anomalies with a Five-Factor Model
2014 Nobel
Market-Based Corrective Actions
2009 Standout
Attention to Global Warming
2019
Sports Sentiment and Stock Returns
2007
The impact of geopolitical uncertainty on energy volatility
2021
Do shareholders benefit from green bonds?
2018 Standout
A five-factor asset pricing model
2014 StandoutNobel
It Depends on Where You Search: Institutional Investor Attention and Underreaction to News
2017
A review of tax research
2010 Standout
Liquidity: Urban versus rural firms
2005
Impact of Russian-Ukraine war on clean energy, conventional energy, and metal markets: Evidence from event study approach
2022 Standout
Dissecting green returns
2022 Standout
Does Information Risk Really Matter? An Analysis of the Determinants and Economic Consequences of Financial Reporting Quality
2008
Investor attention, overconfidence and category learning
2006
Hubris and Unethical Decision Making: The Tragedy of the Uncommon
2016 Standout
The financial reporting environment: Review of the recent literature
2010 Standout
Political uncertainty and risk premia
2013 Standout
Are stock prices related to the political uncertainty index in OECD countries? Evidence from the bootstrap panel causality test
2015
Looking for Risk in Words: A Narrative Approach to Measuring the Pricing Implications of Finance Constraints
2014
Rational Inattention: Beyond the Linear-Quadratic Case
2006 StandoutNobel
Evaluating Firm-Level Expected-Return Proxies: Implications for Estimating Treatment Effects
2020
What Should GAAP Look Like? A Survey and Economic Analysis
2009
Geopolitical risk and dynamic connectedness between commodity markets
2022 Standout

Works of Kewei Hou being referenced

What Factors Drive Global Stock Returns?
2011
Market Frictions, Price Delay, and the Cross-Section of Expected Returns
2005
Accruals and NOA Anomalies: Risk or Mispricing?
2005
Accruals, cash flows, and aggregate stock returns☆
2008
Industry Concentration and Average Stock Returns
2003
Do Investors Overvalue Firms With Bloated Balance Sheets?
2004
Digesting Anomalies: An Investment Approach
2012
Real effects of climate policy: Financial constraints and spillovers
2021
An Augmented q-Factor Model with Expected Growth
2020
R2 and Price Inefficiency
2006
The implied cost of capital: A new approach
2011
Industry Concentration and Average Stock Returns
2006
Accruals and NOA Anomalies: Risk or Mispricing?*
2005
Market Frictions, Price Delay, and the Cross-Section of Expected Returns
2003
A Comparison of New Factor Models
2014
A Tale of Two Anomalies: The Implication of Investor Attention for Price and Earnings Momentum
2006
Industry Information Diffusion and the Lead-lag Effect in Stock Returns
2007
Industry Information Diffusion and the Lead-Lag Effect in Stock Returns
2003
What Factors Drive Global Stock Returns?
2011
A Tale of Two Anomalies: The Implications of Investor Attention for Price and Earnings Momentum
2009
A Tale of Two Anomalies: The Implications of Investor Attention for Price and Earnings Momentum
2008
Political Uncertainty and Commodity Prices
2017
Have we solved the idiosyncratic volatility puzzle?
2016
Real Effects of Climate Policy: Financial Constraints and Spillovers
2018
Rankless by CCL
2026