Rajna Gibson
About
In The Last Decade
Rajna Gibson
51 papers receiving 1.6k citations
Hit Papers
Peers
Comparison fields: 5 of 85
- Finance 1.1k
- Economics and Econometrics 922
- General Economics, Econometrics and Finance 310
- Accounting 251
- Strategy and Management 217
Countries citing papers authored by Rajna Gibson
This map shows the geographic impact of Rajna Gibson's research. It shows the number of citations coming from papers published by authors working in each country. You can also color the map by specialization and compare the number of citations received by Rajna Gibson with the expected number of citations based on a country's size and research output (numbers larger than one mean the country cites Rajna Gibson more than expected).
Fields of papers citing papers by Rajna Gibson
This network shows the impact of papers produced by Rajna Gibson. Nodes represent research fields, and links connect fields that are likely to share authors. Colored nodes show fields that tend to cite the papers produced by Rajna Gibson. The network helps show where Rajna Gibson may publish in the future.
Co-authorship network of co-authors of Rajna Gibson
This figure shows the co-authorship network connecting the top 25 collaborators of Rajna Gibson. A scholar is included among the top collaborators of Rajna Gibson based on the total number of citations received by their joint publications. Widths of edges represent the number of papers authors have co-authored together. Node borders signify the number of papers an author published with Rajna Gibson. Rajna Gibson is excluded from the visualization to improve readability, since they are connected to all nodes in the network.
All Works
| # | Work | Indexed citations |
|---|---|---|
| 1 | 1 | |
| 2 | Responsible Institutional Investing Around the World | 12 |
| 3 | 70 | |
| 4 | How Effective Are Social Norm Interventions in Corporations? Evidence from a Laboratory Experiment on Earnings Misrepresentation | 1 |
| 5 | 28 | |
| 6 | Liquidity Risk, Return Predictability, and Hedge Funds’ Performance: An Empirical Study | 4 |
| 7 | 139 | |
| 8 | 2 | |
| 9 | 8 | |
| 10 | 0 | |
| 11 | 34 | |
| 12 | 26 | |
| 13 | 19 | |
| 14 | Performance in the Hedge Funds Industry: An Analysis of Short and Long-Term Persistence | 10 |
| 15 | 39 | |
| 16 | 2 | |
| 17 | Model risk : concepts, calibration and pricing | 9 |
| 18 | A Model of Sovereign Borrowing and Sovereign Yield Spreads | 43 |
| 19 | On the Predictability of the Stock Market Volatility: Does History Matter? | 2 |
| 20 | Option valuation : analyzing and pricing standardized option contracts | 8 |
Rankless uses publication and citation data sourced from OpenAlex, an open and comprehensive bibliographic database. While OpenAlex provides broad and valuable coverage of the global research landscape, it—like all bibliographic datasets—has inherent limitations. These include incomplete records, variations in author disambiguation, differences in journal indexing, and delays in data updates. As a result, some metrics and network relationships displayed in Rankless may not fully capture the entirety of a scholar's output or impact.