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Cesario Mateus
Cesario Mateus
Professor of Finance, Aalborg University, Denmark
Verified email at business.aau.dk - Homepage
Title
Cited by
Cited by
Year
Cash holdings and earnings quality: evidence from the Main and Alternative UK markets
J Farinha, C Mateus, N Soares
International Review of Financial Analysis 56, 238-252, 2018
942018
Oil prices, stock markets and firm performance: Evidence from Europe
M Bagirov, C Mateus
International Review of Economics & Finance 61, 270-288, 2019
902019
Supervisory boards, financial crisis and bank performance: do board characteristics matter?
C Fernandes, J Farinha, FV Martins, C Mateus
Journal of banking regulation 18 (4), 310-337, 2017
802017
What determines cash holdings at privately held and publicly traded firms? Evidence from 20 emerging markets
T Hall, C Mateus, IB Mateus
International Review of Financial Analysis 33, 104-116, 2014
802014
Debt and taxes for private firms
J Bartholdy, C Mateus
International Review of Financial Analysis 20 (3), 177-189, 2011
74*2011
Corporate governance impact on bank performance: Evidence from Europe
B Salma, C Mateus
Corporate Ownership and Control 13 (Issue 4 (continued 4)), 2016
602016
Taxes and corporate debt policy: Evidence for unlisted firms of sixteen European countries
J Bartholdy, C Mateus
SSRN, 2008
56*2008
Bank governance and performance: a survey of the literature
C Fernandes, J Farinha, FV Martins, C Mateus
Journal of Banking Regulation 19 (3), 236-256, 2018
542018
Does trade credit facilitate access to bank finance? An empirical evidence from Portuguese and Spanish small medium size enterprises
APM Gama, C Mateus, A Teixeira
SSRN, 2013
532013
Volatility risk and stock return predictability on global financial crises
W Kongsilp, C Mateus
China Finance Review International 7 (1), 33-66, 2017
462017
Do small and medium sized enterprises match their assets and liabilities? Evidence from Portugal
J Bartholdy, C Mateus, D Olson
The International Journal of Business and Finance Research 7 (4), 13-31, 2012
46*2012
Review of new trends in the literature on factor models and mutual fund performance
IB Mateus, C Mateus, N Todorovic
International Review of Financial Analysis 63, 344-354, 2019
352019
Leverage and the maturity structure of debt in emerging markets
C Mateus, P Terra
Journal of Mathematical Finance 3, 46-59, 2013
332013
UK equity mutual fund alphas make a comeback
IB Mateus, C Mateus, N Todorovic
International Review of Financial Analysis 44, 98-110, 2016
322016
Debt and taxes: Evidence from bank-financed small and medium-sized firms
J Bartholdy, C Mateus
EFA 2005 Moscow Meetings Paper (http://ssrn. com/abstract= 672104), 2005
302005
An empirical research on capital structure choices
A Balla, C Mateus
Novos desafios na Gestão, Innovação ou renovação?: XII Jornadas Luso …, 2002
30*2002
Determinants of European banks’ bailouts following the 2007–2008 financial crisis
C Fernandes, J Farinha, FV Martins, C Mateus
Journal of International Economic Law 19 (3), 707-742, 2016
262016
US sector rotation with five-factor Fama–French alphas
G Sarwar, C Mateus, N Todorovic
Journal of Asset Management 19, 116-132, 2018
242018
The performance and persistence of exchange-traded funds: evidence for iShares MSCI country-specific ETFs
TW Kuo, C Mateus
European Financial Management Association 2007 Annual Meetings, 2007
242007
The joint determination of capital structure and debt maturity: empirical evidence from Latin America and Eastern Europe
PRS Terra, C Mateus
5o Encontro Brasileiro de Finanças, 2005
24*2005
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Articles 1–20