"Stock Return Variation and Expected Dividends: A Time-Series and Cross-Sectional Analysis."

Kothari, S.P. and Jay Shanken. Journal of Financial Economics Vol. 31, No. 2 (1992): 177-210.

"Security Returns Around Earnings Announcements."

Ball, Ray and S.P. Kothari. The Accounting Review Vol. 66, No. 4 (1991): 718-738.

"Nonstationary Expected Returns: Implications for Tests of Market Efficiency and Serial Correlation in Returns."

Ball, Ray and S.P. Kothari. Journal of Financial Economics Vol. 25, No. 1 (1989): 51-74.

"An Analysis of the Cross-sectional and Intertemporal Determinants of Earnings Response Coefficients."

Collins, Daniel and S.P. Kothari. Journal of Accounting and Economics Vol. 11, No. 2-3 (1989): 143-181.

"The Relation Between the Return Interval and Betas: Implications for the Size-Effect."

Handa, Puneet, S.P. Kothari and Charles Wasley. Journal of Financial Economics Vol. 23, No. 1 (1989): 79-100.

"Measuring Security Price Performance in Size Clustered Samples."

Kothari, S.P. and Charles E. Wasley. The Accounting Review Vol. 64, No. 2 (1989): 228-249.

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