Victor Mendes
Ph D: U South Carolina, Economics, 1990
Bachelor: U Porto, Economics, 1982
FCT research center:
Centro de Estudos e Formação Avançada em Gestão e Economia da Universidade de Évora (CEFAGE-UE) (2015)
Articles 10:
Ranking: CEF.UP+NIPE (average of all rankings) (2012).

Analysis of Market Quality before and during Short-Selling Bans 4.18
Carlos Alves, Victor Mendes, Paulo Pereira da Silva
Research In International Business And Finance, vol. 37, 2016, p. 252-268.

Do Stress Tests Matter? A Study on the Impact of the Disclosure of Stress Test Results on European Financial Stocks and CDS Markets 8.64
Carlos Alves, Victor Mendes, Paulo Pereira da Silva
Applied Economics, vol. 47, 2015, p. 1213-1229.

Information, Overconfidence and Trading: Do the Sources of Information Matter? 14.46
Margarida Abreu, Victor Mendes
Journal Of Economic Psychology, vol. 33, 2012, p. 868-881.

Does Performance Explain Mutual Fund Flows in Small Markets? The Case of Portugal 1.91
Carlos Alves, Victor Mendes
Portuguese Economic Journal, vol. 10, 2011, p. 129-147.

Home Country Bias: Does Domestic Experience Help Investors Enter Foreign Markets? 12.52
Margarida Abreu, Victor Mendes, João Santos
Journal of Banking and Finance, vol. 35, 2011, p. 2330-2340.

Financial Literacy and Portfolio Diversification 11.16
Margarida Abreu, Victor Mendes
Quantitative Finance, vol. 10, 2010, p. 515-528.

Mutual Funds Biased Preference for the Parent s Stock: Evidence and Explanation 6.63
Carlos Alves, Victor Mendes
Applied Financial Economics, vol. 20, 2010, p. 16-18.

Are Mutual Fund Investors in Jail? 6.63
Carlos Alves, Victor Mendes
Applied Financial Economics, vol. 17, 2007, p. 1301-1312.

Structure and Performance in the Portuguese Banking Industry in the Nineties 1.91
Victor Mendes, João Rebelo
Portuguese Economic Journal, vol. 2, 2003, p. 53-68.

Productive Efficiency, Technological Change and Productivity in Portuguese Banking 6.63
Victor Mendes, João Rebelo
Applied Financial Economics, vol. 9, 1999, p. 513-521.