Autor

Nome:
José Guedes
Habilitações:
Doutoramento: OH State U, Management, 1990
Licenciatura: UCP, Economics, 1981
e-mail:
jcg@fcee.ucp.pt
Centro FCT:
Católica Lisbon Unidade de Investigação em Gestão e Economia (2015)
Instituição REBIDES:
Universidade Católica Portuguesa - Faculdade de Ciências Económicas e Empresariais (2015)
Artigos 11:

The Diffusion of Complex Securities: The Case of CAT Bonds
José Afonso Faias, José Guedes
Insurance: Mathematics and Economics, vol. 90, 2020, p. 46-57.

Incentive Pay and Systemic Risk
Rui Albuquerque, Luis Cabral, José Guedes
Review of Financial Studies, vol. 32, 2019, p. 4304-4342.

The Commodity Super Price Cycle and Real Options: Implications for the Greeks of Mining Firms
José Guedes
Review Of Financial Economics, vol. 36, 2018, p. 33-46.

Valuing an Offshore Oil Exploration and Production Project through Real Options Analysis
José Guedes, Pedro F. Santos
Energy Economics, vol. 60, 2016, p. 377-386.

Keeping Up with the Joneses: A Model and a Test of Collective Accounting Fraud
Nuno Fernandes, José Guedes
European Financial Management, vol. 16, 2010, p. 72-93.

Estimating the Expropriation of Minority Shareholders: Results from a New Empirical Approach
José Guedes, Gilberto Loureiro
European Journal Of Finance, vol. 12, 2006, p. 421-448.

Changing Rewards in Contests: Has the Three-Point Rule Brought More Offense to Soccer?
José Guedes, Fernando Machado
Empirical Economics, vol. 27, 2002, p. 607-630.

Managerial Reputation and Divisional Sell-Offs: A Model and Empirical Test
José Guedes, Roch Parayre
Journal of Banking and Finance, vol. 21, 1997, p. 1085-1106.

On the Diversification, Observability, and Measurement of Estimation Risk
Pete Clarkson, Rex Thompson, José Guedes
Journal of Financial and Quantitative Analysis, vol. 31, 1996, p. 69-84.

The Determinants of the Maturity of Corporate Debt Issues
José Guedes, Tim Opler
Journal of Finance, vol. 51, 1996, p. 1809-1833.

Tests of a Signaling Hypothesis: The Choice between Fixed and Adjustable-Rate Debt
José Guedes, Rex Thompson
Review of Financial Studies, vol. 8, 1995, p. 605-636.

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