Stanislava Nikolova

940 total citations
23 papers, 561 citations indexed

About

Stanislava Nikolova is a scholar working on Finance, Economics and Econometrics and Accounting. According to data from OpenAlex, Stanislava Nikolova has authored 23 papers receiving a total of 561 indexed citations (citations by other indexed papers that have themselves been cited), including 22 papers in Finance, 10 papers in Economics and Econometrics and 6 papers in Accounting. Recurrent topics in Stanislava Nikolova's work include Banking stability, regulation, efficiency (17 papers), Financial Markets and Investment Strategies (12 papers) and Credit Risk and Financial Regulations (10 papers). Stanislava Nikolova is often cited by papers focused on Banking stability, regulation, efficiency (17 papers), Financial Markets and Investment Strategies (12 papers) and Credit Risk and Financial Regulations (10 papers). Stanislava Nikolova collaborates with scholars based in United States, Germany and United Kingdom. Stanislava Nikolova's co-authors include Christof W. Stahel, Alexander Philipov, Gergana Jostova, Mark J. Flannery, Kathleen Hanley, Özde Öztekin, Loriana Pelizzon, Juan Wu, Scott Murray and Alan D. Jagolinzer and has published in prestigious journals such as Journal of Financial Economics, Review of Financial Studies and Journal of Accounting and Economics.

In The Last Decade

Stanislava Nikolova

22 papers receiving 525 citations

Peers

Stanislava Nikolova
Sinan Tan United States
John G. Gallo United States
Xiaoling Pu United States
Philip F. Bartholomew United States
Joel Rentzler United States
José Vicente Martinez United Kingdom
Steven P. Clark United States
Dion Bongaerts Netherlands
Sinan Tan United States
Stanislava Nikolova
Citations per year, relative to Stanislava Nikolova Stanislava Nikolova (= 1×) peers Sinan Tan

Countries citing papers authored by Stanislava Nikolova

Since Specialization
Citations

This map shows the geographic impact of Stanislava Nikolova'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 Stanislava Nikolova with the expected number of citations based on a country's size and research output (numbers larger than one mean the country cites Stanislava Nikolova more than expected).

Fields of papers citing papers by Stanislava Nikolova

Since Specialization
Physical SciencesHealth SciencesLife SciencesSocial Sciences

This network shows the impact of papers produced by Stanislava Nikolova. 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 Stanislava Nikolova. The network helps show where Stanislava Nikolova may publish in the future.

Co-authorship network of co-authors of Stanislava Nikolova

This figure shows the co-authorship network connecting the top 25 collaborators of Stanislava Nikolova. A scholar is included among the top collaborators of Stanislava Nikolova 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 Stanislava Nikolova. Stanislava Nikolova is excluded from the visualization to improve readability, since they are connected to all nodes in the network.

All Works

20 of 20 papers shown
1.
Jostova, Gergana, Stanislava Nikolova, & Alexander Philipov. (2024). Data Uncertainty in Corporate Bonds. SSRN Electronic Journal. 1 indexed citations
2.
Nikolova, Stanislava, et al.. (2022). Corporate Bond Flipping. SSRN Electronic Journal. 4 indexed citations
3.
Girardi, Giulio, Kathleen Hanley, Stanislava Nikolova, Loriana Pelizzon, & Mila Getmansky Sherman. (2021). Portfolio similarity and asset liquidation in the insurance industry. Journal of Financial Economics. 142(1). 69–96. 38 indexed citations
4.
Murray, Scott & Stanislava Nikolova. (2021). The Bond-Pricing Implications of Rating-Based Capital Requirements. Journal of Financial and Quantitative Analysis. 57(6). 2177–2207. 14 indexed citations
5.
Hanley, Kathleen & Stanislava Nikolova. (2020). Rethinking the Use of Credit Ratings in Capital Regulations: Evidence From the Insurance Industry. RePEc: Research Papers in Economics. 10(2). 347–401. 7 indexed citations
6.
Girardi, Giulio, Kathleen Hanley, Stanislava Nikolova, Loriana Pelizzon, & Mila Getmansky Sherman. (2018). Portfolio Similarity and Asset Liquidation in the Insurance Industry. SSRN Electronic Journal. 14 indexed citations
7.
Nikolova, Stanislava, et al.. (2018). Institutional Allocations in the Primary Market for Corporate Bonds. SSRN Electronic Journal. 3 indexed citations
8.
Girardi, Giulio, et al.. (2017). Portfolio Similarity and Asset Liquidation in the Insurance Industry. SSRN Electronic Journal. 9 indexed citations
9.
Murray, Scott & Stanislava Nikolova. (2017). The Bond Pricing Implications of Rating-Based Capital Requirements. SSRN Electronic Journal. 12 indexed citations
10.
Hanley, Kathleen & Stanislava Nikolova. (2016). Strategic Reporting of Fair Value Estimate Levels. SSRN Electronic Journal. 5 indexed citations
11.
Getmansky, Mila, Kathleen Hanley, Stanislava Nikolova, & Loriana Pelizzon. (2016). Portfolio Similarity and Asset Liquidation in the Insurance Industry. SSRN Electronic Journal. 9 indexed citations
12.
Nikolova, Stanislava, et al.. (2014). The Transaction Costs of Trading Corporate Credit. SSRN Electronic Journal. 23 indexed citations
13.
Jostova, Gergana, Stanislava Nikolova, Alexander Philipov, & Christof W. Stahel. (2013). Momentum in Corporate Bond Returns. Review of Financial Studies. 26(7). 1649–1693. 214 indexed citations
14.
Hanley, Kathleen & Stanislava Nikolova. (2013). The Removal of Credit Ratings from Capital Regulation: Implications for Systemic Risk. SSRN Electronic Journal. 2 indexed citations
15.
Flannery, Mark J., Stanislava Nikolova, & Özde Öztekin. (2012). Leverage Expectations and Bond Credit Spreads. Journal of Financial and Quantitative Analysis. 47(4). 689–714. 36 indexed citations
16.
Jostova, Gergana, Stanislava Nikolova, Alexander Philipov, & Christof W. Stahel. (2011). Momentum in Corporate Bond Returns. SSRN Electronic Journal.
17.
Jostova, Gergana, Stanislava Nikolova, Alexander Philipov, & Christof W. Stahel. (2010). Momentum in Corporate Bond Returns. SSRN Electronic Journal. 1 indexed citations
18.
Jostova, Gergana, Stanislava Nikolova, Alexander Philipov, & Christof W. Stahel. (2010). Momentum in Corporate Bond Returns. SSRN Electronic Journal. 8 indexed citations
19.
Flannery, Mark J., Stanislava Nikolova, & Özde Öztekin. (2007). Leverage Expectations and Bond Credit Spreads. SSRN Electronic Journal. 13 indexed citations
20.
Flannery, Mark J. & Stanislava Nikolova. (2004). Market Discipline of U.S. Financial Firms: Recent Evidence and Research Issues. 39 indexed citations

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.

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