Richard Taffler

University of Warwick - Finance Group

Professor of Finance and Accounting

Gibbet Hill Rd

Coventry, CV4 7AL

Great Britain

SCHOLARLY PAPERS

12

DOWNLOADS
Rank 22,108

SSRN RANKINGS

Top 22,108

in Total Papers Downloads

2,772

SSRN CITATIONS
Rank 45,930

SSRN RANKINGS

Top 45,930

in Total Papers Citations

4

CROSSREF CITATIONS

11

Scholarly Papers (12)

1.

Skewness Preference and Market Anomalies

University of Miami Business School Research Paper No. 3166638
Number of pages: 72 Posted: 06 May 2018 Last Revised: 26 Nov 2019
Alok Kumar, Mehrshad Motahari and Richard Taffler
University of Miami - Miami Herbert Business School, University of Cambridge - Judge Business School and University of Warwick - Finance Group
Downloads 702 (45,065)
Citation 1

Abstract:

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Anomalies, commonality, skewness preference, mispricing, trading strategies.

2.

Fund Management: An Emotional Finance Perspective

CFA Institute Research Foundation, ISBN 978-1-934667-49-1, WBS Finance Group Research Paper No. 232
Number of pages: 117 Posted: 09 Jun 2015
David Tuckett and Richard Taffler
University College London - Centre for the Study of Decision-Making Uncertainty and University of Warwick - Finance Group
Downloads 664 (48,538)

Abstract:

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Emotional finance, behavioral finance

3.

Why the Going-Concern Anomaly: Gambling in the Market?

WBS Finance Group Research Paper No. 200
Number of pages: 58 Posted: 13 Apr 2013
Asad Kausar, Alok Kumar and Richard Taffler
American University - Kogod School of Business, University of Miami - Miami Herbert Business School and University of Warwick - Finance Group
Downloads 417 (86,403)
Citation 7

Abstract:

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Audit report, market underreaction, retail investors, lottery-type stocks, gambling

4.

Hedge Funds and Unconscious Fantasy

WBS Finance Group Research Paper No. 133
Number of pages: 16 Posted: 21 Dec 2009 Last Revised: 23 Dec 2019
Arman Eshraghi and Richard Taffler
Cardiff Business School and University of Warwick - Finance Group
Downloads 268 (140,484)

Abstract:

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alternative investments, investor psychology, media portrayal, phantastic objects, psychoanalysis

5.

Bankruptcy Sells Stocks… But Who's Buying (and Why)?

Number of pages: 62 Posted: 24 Apr 2014
Luis Coelho, Kose John, Alok Kumar and Richard Taffler
University of Algarve, New York University (NYU) - Department of Finance, University of Miami - Miami Herbert Business School and University of Warwick - Finance Group
Downloads 208 (179,594)
Citation 1

Abstract:

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Post-Chapter 11 trading, gambling, lottery-like stocks, retail investors, limits to arbitrage, market under-reaction

6.

Do Analysts Know But Not Tell? The Case of Going-Concern Opinions

Number of pages: 62 Posted: 05 Oct 2014
Ruben Peixinho and Richard Taffler
University of Algarve and University of Warwick - Finance Group
Downloads 154 (233,591)
Citation 4

Abstract:

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analyst behavior, bad news announcements, stock recommendation bias, coverage cessation

7.

Investor Emotions and Speculative Bubbles

Number of pages: 52 Posted: 29 Jan 2021
University of Warwick - Finance Group, Middlesex University, Cranfield University - School of Management and affiliation not provided to SSRN
Downloads 147 (242,716)

Abstract:

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investor psychology, emotional finance, phantastic objects, financial media, textual analysis

8.

Research Foundation Year in Review -- 2013

CFA Institute Research Foundation R2014
Number of pages: 90 Posted: 11 Jun 2015
CFA Institute Research Foundation, York University - Schulich School of Business, Ensign Peak Advisors, Analytic Investors, Inc., BYU Marriott School of Business, Boston University - Questrom School of Business, Arizona State University, Ryan ALM, Inc., University of Warwick - Finance Group, University College London - Centre for the Study of Decision-Making Uncertainty, Independent, CFA Institute Research Foundation, CFA Institute Research Foundation, Allocationmetrics Limited, BlackRock, Barclays and Target Corporation
Downloads 113 (295,760)

Abstract:

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life annuities, futures, options, manager selection, ethics, ALM, asset/liability management, tail risk

9.

Research Foundation Year in Review -- 2012

CFA Institute Research Foundation R2013
Number of pages: 76 Posted: 11 Jun 2015 Last Revised: 20 Mar 2016
AQR Capital Management, University of Warwick - Finance Group, University College London - Centre for the Study of Decision-Making Uncertainty, Boston University - Department of Finance & Economics, CFA Institute Research Foundation, CFA Institute, Fischer Francis Trees & Watts, Inc., New York University (NYU) - Department of Finance, Minnesota State University, Mankato, CFA Institute, Webster University, Environmental Financial Products, LLC, University of Cambridge - Judge Business School, Target Corporation, CFA Institute Research Foundation and University of Cambridge - Judge Business School
Downloads 97 (327,905)

Abstract:

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Expected Returns, emotional finance, currency investing, life-cycle investing, inflation, liquidity, financial frictions, ethics, derivatives, equity risk premium

10.

Is Management Quality Value Relevant?

Journal of Business Finance & Accounting, Vol. 38, Issue 9‐10, pp. 1184-1208, 2011
Posted: 14 Dec 2011
Vineet Agarwal, Richard Taffler and Mike Brown
Cranfield University - School of Management, University of Warwick - Finance Group and Birmingham City University
Downloads 2 (764,794)
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Abstract:

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cost of equity, expected returns, management reputation, resource based view, Management Today, efficient market hypothesis

11.

The Impact of Corporate Tax Avoidance on Analyst Coverage and Forecasts

Review of Quantitative Finance and Accounting, Forthcoming (with open access)
Posted: 05 Jan 2018 Last Revised: 28 Feb 2019
Guanming He, Helen Ren and Richard Taffler
Durham University, University of Liverpool and University of Warwick - Finance Group

Abstract:

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Tax planning ‧ Financial opacity ‧ Analyst following ‧ Earnings forecasts

12.

Fund Manager Overconfidence and Investment Performance: Evidence from Mutual Funds

WBS Finance Group Research Paper No. 193
Posted: 15 Sep 2012 Last Revised: 03 Jul 2020
Arman Eshraghi and Richard Taffler
Cardiff Business School and University of Warwick - Finance Group

Abstract:

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fund manager behaviour, overconfidence, mutual fund performance, investor psychology

Other Papers (1)

Total Downloads: 0
1.

Do Corporate Insiders Trade on Future Stock Price Crash Risk?

Forthcoming at the Review of Quantitative Finance & Accounting
Posted: 05 Jan 2018 Last Revised: 23 Oct 2020
Guanming He, Helen Ren and Richard Taffler
Durham University, University of Liverpool and University of Warwick - Finance Group

Abstract:

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insider selling; crash risk; financial constraints; information asymmetry; SOX