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Sole
CRIS
Etusivu
Käyttöohje
Kirjautuminen
YO:n asiantuntijat
Hakupalvelut
Hankkeet
Julkaisut
Tehtävät
YO:n asiantuntijat
YO:n organisaatio
Konferenssit
Vapaasanahaku
Anonyymi
Nikkinen Jussi Tapio
Ph.D.
Laskentatoimi ja rahoitus
LASKENTATOIMEN JA RAHOITUKSEN YKSIKKÖ
Professori / RAHOITUS (oppiaine)
LASKENTATOIMEN JA RAHOITUKSEN YKSIKKÖ
Professori / RAHOITUS (oppiaine)
LASKENTATOIMEN JA RAHOITUKSEN YKSIKKÖ
Professori / RAHOITUS (oppiaine)
Suomi
jn(a)uwasa.fi
http://www.uwasa.fi/~jn/
Lisätiedot : The scientific refereed journal articles by Prof. Jussi Nikkinen are listed at: http://www.uwasa.fi/~jn/#tutkimus Note: CRIS includes only selected most recent conference proceedings of Prof. Jussi Nikkinen.
Suora linkki
Hankkeet
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[3]
Corporate Risk Management and Financial Vulnerability. 2011 - 2012
Portfolio Management in the Aftermath of Financial Crisis. 2010 - 2011
Kansainvälisen ingtegroitumisprosessin vaikutukset kehittyville markkinoille. 2007 - 2010
Julkaisut
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[85]
Nikkinen, Jussi; Peltomäki, Jarkko. (2020). Crash fears and stock market effects : evidence from web searches and printed news articles. 21, 117-127. [Päätekijä]
Dutta, Anupam; Rothovius, Timo; Nikkinen, Jussi. (2020). Chapter2: Investigating the Association between Oil VIX and Equity VIX: Evidence from China, 25-46. [Tekijä]
Nikkinen, Jussi; Piljak, Vanja; Rothovius, Timo. (2019). Impact of the 2008-2009 financial crisis on the external and internal linkages of European frontier stock markets. Available online 2 July 2019. [Päätekijä]
Nikkinen, Jussi; Rothovius, Timo. (2019). Energy sector uncertainty decomposition : New approach based on implied volatilities. 248, 141-148. [Päätekijä]
Nikkinen, Jussi; Rothovius, Timo. (2018). The EIA WPSR release, OVX and crude oil internet interest. online 11 October, 1-11. [Päätekijä]
Nikkinen, Jussi; Rothovius, Timo. (2018). Market specific seasonal trading behavior in NASDAQ OMX electricity options. Online 4 May, 1-14. [Päätekijä]
Dutta, Anupam; Nikkinen, Jussi; Rothovius, Timo. (2017). Impact of Oil Price Uncertainty on Middle East and African Stock Markets. 123, 189-197. [Tekijä]
Klemola, Antti; Nikkinen, Jussi; Peltomäki, Jarkko. (2016). Changes in Investors' Market Attention and Near-Term Stock Market Returns. Journal of Behavioral Finance. 17, 18-30. [Tekijä]
Enqvist, Julius; Graham, Michael; Nikkinen, Jussi. (2014). The impact of working capital management on firm profitability in different business cycles: Evidence from Finland. Research in International Business and Finance. 32, 36–49. [Päätekijä]
Kiviaho, Jarno; Nikkinen, Jussi; Piljak, Vanja; Rothovius, Timo. (2014). The co-movement dynamics of European frontier stock markets. European Financial Management. 20, 574-595. [Tekijä]
Kaurijoki, M., Nikkinen, J., & Äijö, J. (2014). Return-implied volatility dynamics of high and low yielding currencies. Journal of Futures Markets. Online: 18 August 2014, 1-15. [Tekijä]
Jussi Nikkinen; Sami Vähämaa. (2014). Price clustering of stock index derivatives : The case of thinly traded Finnish markets in the late 1990s. Kirjassa: Contributions to Mathematics, Statistics, Econometrics, and Finance. Essays in Honour of Professor Seppo Pynnönen. Toim.Knif, Johan; Pape, Bernd. 329-346. [Päätekijä]
Nikkinen, Jussi; Saleem, Kashif; Martikainen, Minna; Omran, Mohammed. (2014). Oil Risk and Asset Returns: Evidence from Emerging Markets in the Middle East. Emerging markets finance and trade. 50, 169-189. [Päätekijä]
Davydov Denis; Nikkinen Jussi; Vähämaa Sami. (2014). Does the decision to issue public debt affect firm valuation? : Russian evidence. Emerging Markets Review. 20, 136-151. [Tekijä]
Nikkinen, Jussi; Saleem, Kashif; Martikainen, Minna. (2013). Transmission of the subprime crisis: Evidence from industrial and financial sectors of BRIC countries. Journal Of Applied Business Research. 29, 1469-1478. [Päätekijä]
Kotkatvuori-Örnberg, Juha; Nikkinen, Jussi; Äijö, Janne. (2013). Stock market correlations during the Financial Crisis of 2008-2009 : Evidence from 50 equity markets. International Review of Financial Analysis. 28, 70-78. [Tekijä]
Graham, Mikael; Jarno Kiviaho; Jussi Nikkinen. (2013). Short-term and long-term dependencies of the S&P 500 index and commodity prices. Quantitative Finance. 13, 583-592. [Tekijä]
Nikkinen Jussi, Orlov Vitaly ja Äijö Janne. (2013). On the carry trade diversification.. Konferenssijulkaisussa: Proceedings of the 21st Conference on the Theories and Practices of Securities and Financial Markets. ... [Päätekijä]
Rothovius, Timo; Nikkinen, Jussi; Sihvonen, Jukka; Klemola, Antti. (2013). Johdannaisten hyödyntäminen energiayhtiön liiketoiminnassa. Vaasan yliopisto: Vaasa. [Tekijä]
Grahama, Michael; Jarno Kiviaho; Jussi Nikkinen; Mohammed Omran. (2013). Global and regional co-movement of the MENA stock markets. Journal of Economics and Business. 65, 86-100. [Tekijä]
Davydov, Denis; Nikkinen, Jussi; Vähämaa, Sami. (2013). Does the decision to issue public debt affect firm valuation? Russian evidence. Konferenssijulkaisussa: 53rd Annual Conference of the Southern Finance Association. -. [Tekijä]
Kiviaho, Jarno; Nikkinen, Jussi; Piljak, Vanja; Rothovius, Timo. (2012). The dynamics of European frontier emerging stock markets co-movement: a wavelet approach. Konferenssijulkaisussa: Eastern Finance Association Annual Meeting. -. [Tekijä]
Kotkatvuori-Örnberg, Juha; Nikkinen, Jussi; Äijö, Janne. (2012). Stock market correlations during the Financial Crisis of 2008-2009: Evidence from 50 equity markets. Konferenssijulkaisussa: Annual Global Finance Conference. -. [Tekijä]
Graham, Michael; Kiviaho, Jarno; Nikkinen, Jussi. (2012). Integration of 22 emerging stock markets: A three-dimensional analysis. Global Finance Journal. 23, 34-47. [Tekijä]
Akoum, Ibrahim; Graham, Michael; Kiviaho, Jarno; Nikkinen, Jussi; Omran, Mohammed. (2012). Co-movement of oil and stock prices in the GCC region: A wavelet analysis. Quarterly Review of Economics and Finance. 52, 385394. [Tekijä]
Nikkinen, Jussi; Piljak, Vanja; Äijö, Janne. (2012). Baltic stock markets and the Financial Crisis of 2008-2009. Research in International Business and Finance. 26, 398-409. [Päätekijä]
Nikkinen, Jussi; Piljak, Vanja; Äijö, Janne. (2012). Baltic stock markets and the Financial Crisis of 2008-2009. Konferenssijulkaisussa: Proceedings of the 61st Midwest Finance Association Annual Meeting. -. [Päätekijä]
Nikkinen, Jussi; Piljak, Vanja; Äijö, Janne. (2012). Baltic stock markets and the Financial Crisis of 2008-2009. Konferenssijulkaisussa: International Conference on Macroeconomic Analysis and International Finance. -. [Päätekijä]
Jussi Nikkinen, Jussi; Vanja Piljak, Timo Rothovius. (2011). The dynamics of European frontier emerging stock markets: a wavelet approach. Konferenssijulkaisussa: Proceedings of the 51th Annual Meeting of the Southern Finance Association. -. [Tekijä]
Graham, Michael; Kiviaho, Jarno; Nikkinen, Jussi. (2011). Short-Term and Long-Term Interdependencies of Securitized Real Estate Markets. Konferenssijulkaisussa: Proceedings of the 19th Annual Conference of Multinational Finance Association. -. [Tekijä]
Aalto, Antti; Nikkinen, Jussi; Peltomäki, Jarkko; Vähämaa, Sami. (2011). Profitability and diversification benefits of momentum strategies on commodity index futures. International Journal of Accounting and Finance. 3, 21-32. [Päätekijä]
Martikainen, Minna; Nikkinen, Jussi; Omran, Mohammed; Saleem, Kashif. (2011). Oil Risk and Asset Returns: Evidence from Oil Producing Countries. Konferenssijulkaisussa: Proceedings of the 19th annual confenrece of the Multinational Finance Society. -. [Päätekijä]
Klemola, Antti; Nikkinen, Jussi; Peltomäki, Jarkko. (2011). Investor Sentiment in the Stock Market Inferred from Google Search Volumes. Konferenssijulkaisussa: Proceedings of the 50th Annual Meeting of the Southwestern Finance Association. -. [Tekijä]
Graham, Michael; Kiviaho, Jarno; Nikkinen, Jussi. (2011). Integration of 22 Emerging Stock Markets: A Three Dimensional Analysis. Konferenssijulkaisussa: Proceedings of the 50th Annual Meeting of the Southwestern Finance Association. -. [Päätekijä]
Kotkatvuori-Örnberg Juha; Nikkinen Jussi; Peltomäki Jarkko. (2011). Geographical Focus in Emerging Markets and Hedge Fund Performance. Emerging Markets Review. 12, 309-320. [Päätekijä]
Davydov, Denis; Nikkinen, Jussi; Vähämaa, Sami. (2011). Does the choice between public and bank debt affect firm performance? Russian evidence. Konferenssijulkaisussa: Proceedings of the 47th Annual Meeting of the Eastern Finance Association. -. [Tekijä]
Nikkinen Jussi; Pynnönen Seppo; Ranta Mikko; Vähämaa Sami. (2011). Cross-dynamics of exchange rate expectations. International Journal of Finance & Economics. 16, 205-217. [Tekijä]
Nikkinen Jussi, Graham Michael. (2011). Co-movement of Finnish and International Stock Markets: A Wavelet Analysis. European Journal of Finance. 17., 409-425. [Päätekijä]
Nikkinen, Jussi; Sahlström, Petri ; Äijö, Janne. (2011). Calendar anomalies; size and value effects. Konferenssijulkaisussa: The 18th Annual Global Finance Conference Bangkok, Thailand. -. [Päätekijä]
Martikainen Minna, Nikkinen Jussi, Kashif Saleem. (2010). Volatility Spillovers from the US Subprime Crisis to Bric Countries. Konferenssijulkaisussa: Proceedings of the 17th annual conference of the Multinational Finance Society. [Päätekijä]
Nikkinen Jussi, Vähämaa Sami. (2010). Terrorism and stock market sentiment. Financial Review. 45, 263-275. [Päätekijä]
Klemola, Antti, Jussi Nikkinen, Jarkko Peltomäki. (2010). Investor Sentiment in the Stock Market Inferred From Google Search Volumes. Konferenssijulkaisussa: 18th Conference on the Theories and Practices of Securities and Financial Markets. [Tekijä]
Jussi Nikkinen, Vanja Piljak, Timo Rothovius. (2010). Integration of the European frontier emerging stock markets: the effects of the 2008/2009 financial crisis. Konferenssijulkaisussa: 18th Conference on Theories and Practices of Securities and Financial Markets. [Päätekijä]
Nikkinen Jussi, Vanja Piljak, Timo Rothovius. (2010). Integration of the European frontier emerging stock markets during the 2008/2009 financial crisis. Konferenssijulkaisussa: 3rd International Conference on Accounting and Finance. [Päätekijä]
Nikkinen Jussi;Sahlström Petri;Takko Karri;Äijö Janne. (2009). Turn-of-the-month and Intramonth Anomalies and U.S. Macroeconomic News Announcements on the Thinly Traded Finnish Stock Market. International Journal of Economics and Finance. 1, 3-12. [Tekijä]
Nikkinen Jussi;Omran Mohammed;Sahlström Petri;Äijö Janne. (2009). The Effects of U.S. Macroeconomic News Announcements on Emerging Stock Markets in the Asia-Pacific Region. Asia Pacific Journal of Economics and Business. 12. [Tekijä]
Martikainen Minna; Nikkinen Jussi; Vähämaa Sami. (2009). Production functions and productivity of family firms: Evidence from the S&P 500. Quarterly Review of Economics and Finance. 49, 295-307. [Tekijä]
Nikkinen Jussi;Pynnönen Seppo;Ranta Mikko;Vähämaa Sami. (2009). Linkages in exchange rate expectations: A wavelet cross-correlation analysis. Konferenssijulkaisussa. [Tekijä]
Peltomäki Jarkko, Nikkinen Jussi, Kotkatvuori-Örnberg Juha. (2009). Geographical Focus in Emerging Markets and Hedge Fund Performance. Kirjassa: Proceedings of Eastern Finance Annual Meetings. Toim.Tieto puuttuu. 0-0. [Tekijä]
Krylova Elizaveta;Nikkinen Jussi;Vähämaa Sami. (2009). Cross-dynamics of volatility term structures implied by foreign exchange options. Journal of Economics and Business. 61, 355-375. [Tekijä]
Nikkinen Jussi;Vähämaa Sami. (2009). Central bank interventions and implied exchange rate correlations. Journal of Empirical Finance. 16, 862-873. [Tekijä]
Nikkinen Jussi;Vähämaa Sami. (2008). Terrorism and stock market sentiment: Evidence from implied probability densities of the FTSE 100 index. Kirjassa. Toim.. [Tekijä]
Nikkinen Jussi;Omran Mohammed;Sahlström Petri;Äijö Janne. (2008). Stock returns and volatility following the September 11 attacks: Evidence from 53 equity markets. International Review of Financial Analysis. 17, 27-46. [Tekijä]
Nikkinen Jussi;Pynnönen Seppo;Ranta Mikko;Vähämaa Sami. (2008). Cross-dynamics of exchange rate expectations: A wavelet analysis. Kirjassa. Toim.. [Tekijä]
Luoma Martti;Nikkinen Jussi. (2007). Two-point problem of the rate of change. Technical Analysis of Stocks & Commodities. 25, 26-30. [Päätekijä]
Nikkinen Jussi;Sahlström Petri;Äijö Janne. (2007). Turn-of-the-month and intramonth effects: Explanation from the important macroeconomic news announcements. Journal of Futures Markets. [Tekijä]
Nikkinen Jussi;Pynnönen Seppo. (2007). The weekend effect on implied volatility in option valuation. Konferenssijulkaisussa: Contributions to Accounting and Finance - Essays in Honour of Professor Paavo Yli-Olli. [Päätekijä]
Nikkinen Jussi;Vähämaa Sami. (2007). Price clustering of stock index derivatives: Further evidence from a thinly traded market. Kirjassa. Toim.. [Tekijä]
Nikkinen Jussi;Sahlström Petri;Äijö Janne. (2007). Do the US macroeconomic news announcements explain turn-of-the-month and intramonth anomalies on European stock markets?. Journal of Applied Business & Economics. [Tekijä]
Nikkinen Jussi;Pynnönen Seppo;Ranta Mikko;Vähämaa Sami. (2007). Cross-dynamics of exchange rate expectations: A wavelet analysis. Kirjassa. Toim.. [Tekijä]
Nikkinen Jussi;Mohammed Omran;Petri Sahlström;Janne Äijö. (2006). Worldwide Stock Market Reactions to the Scheduled U.S. Macroeconomic News Announcements. Global Finance Journal. Global Finance Journal. [Päätekijä]
Kallunki Juha-Pekka;Nikkinen Jussi;Sahlström Petri;Wichmann Kristina. (2006). Should There Exist Secondary Markets for Executive Stock Options? Accounting and Finance. Accounting and Finance. [Päätekijä]
Nikkinen Jussi;Sahlström Petri;Vähämaa Sami. (2006). Implied volatility linkages among major European currencies. Journal of International Financial Markets, Institutions and Money. 16, 87-103. [Päätekijä]
Martikainen Minna;Nikkinen Jussi. (2006). Family ownership, owner involvement and performance of small and medium sized enterprises. Kirjassa. Toim.. [Päätekijä]
Krylova Elizaveta;Nikkinen Jussi;Vähämaa Sami. (2006). Cross-dynamics of volatility term structures implied by foreign exchange options. Konferenssijulkaisussa. [Tekijä]
Nikkinen Jussi;Vähämaa Sami. (2006). Central bank interventions and implied exchange rate correlations. Kirjassa. Toim.. [Tekijä]
Nikkinen Jussi;Omran Mohammed;Sahlström Petri;Äijö Janne. (2005). Worldwide stock market reactions to the scheduled US macroeconomic news announcements. Kirjassa. Toim.. [Päätekijä]
Nikkinen Jussi;Sahlström Petri;Äijö Janne. (2005). Turn-of-the-month and intramonth effects: Explanation from the important macroeconomic news announcements. Kirjassa. Toim.. [Tekijä]
Salmi Timo;Nikkinen Jussi;Sahlström Petri. (2005). The Review of the Theoretical and Empirical Basis of Financial Ratio Analysis Revisited. [Tekijä]
Hakala Jani;Nikkinen Jussi;Sahlström Petri. (2005). The Adoption of Target Costing and Organizational Involvement in the NPD Process in Finnish Manufacturing Companies. Kirjassa. Toim.. [Tekijä]
Nikkinen;Jussi and Petri Sahlström. (2005). Risk in Audit Pricing: The Role of Firm-Specific Dimensions of Risk. Advances in International Accounting. 18, 141-152. [Päätekijä]
Martikainen Minna;Nikkinen Jussi. (2005). Internal and External Determinants of SME Growth. Kirjassa. Toim.. [Päätekijä]
Krylova Elizaveta;Nikkinen Jussi;Vähämaa Sami. (2005). Cross-dynamics of volatility term structures implied by foreign exchange options. [Tekijä]
Nikkinen Jussi;Sahlström Petri. (2004). Scheduled Domestic and U.S. Macroeconomic News and Stock Valuation in Europe.. Journal of Multinational Financial Management. 14, 201-215.. [Tekijä]
Nikkinen Jussi;Sahlström Petri. (2004). International Transmission of Uncertainty Implicit in Stock Index Option Prices. International Transmission of Uncertainty Implicit in Stock Index Option Prices. Global Finance Journal. 15, 1-15.. [Päätekijä]
Nikkinen Jussi;Sahlström Petri;Vähämaa Sami. (2004). Implied volatility linkages among major European currencies. Konferenssijulkaisussa. [Tekijä]
Nikkinen Jussi;Sahlström Petri. (2004). Impact of the Federal Open Market Committee's Meetings and Scheduled Macroeconomic News on Stock Market Uncertainty. [Päätekijä]
Nikkinen Jussi;Sahlström Petri. (2004). Impact of an Accounting Environment on Cash Flow Prediction. Journal of International Accounting, Auditing and Taxation. Journal of International Accounting, Auditing and Taxation. 13. [Päätekijä]
Nikkinen Jussi;Sahlström Petri. (2004). Does Agency Theory Provide a General Framework for Audit Pricing? International Journal of Auditing. International Journal of Auditing. 8. [Päätekijä]
Nikkinen Jussi;Sahlström Petri. (2004). Distributional Properties and Transformation of Financial Ratios: The Impact of Accounting Environment.. [Päätekijä]
Graham;Michael;Nikkinen Jussi;Sahlström Petri. (2003). Relative Importance of Scheduled Macroeconomic News for Stock Market Investors. Journal of Economics and Finance. Journal of Economics and Finance. 27, 153-165.. [Päätekijä]
Nikkinen, Jussi. (2003). Impact of Foreign Ownership Restrictions on Stock Return Distributions: Evidence from an Option Market. Journal of Multinational Financial Management. Journal of Multinational Financial Management. 13, -. [Päätekijä]
Nikkinen Jussi;Sahlström Petri. (2003). Do Auditors Assess the Systematic Risk in Their Audit Pricing Decisions? International Evidence.. Advances in Accounting. 20. [Päätekijä]
Nikkinen Jussi;Pynnonen Seppo. (2002). The Weekend Effect on Implied Volatility in Option Valuation. Kirjassa. Toim.. [Päätekijä]
Nikkinen Jussi;Sahlström Petri. (2001). Impact of Scheduled Macroeconomic News on Stock Market Uncertainty. Multinational Finance Journal. [Päätekijä]
Tehtävät
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[8]
Nikkinen Jussi Tapio. 2017. Umeå School of Business and Economics, Umeå University.
Davydov Denis. 2013. 53rd Annual Conference of the Southern Finance Association. Fajardo. Puerto Rico.
Piljak Vanja. 2012. The 61th Annual Meeting of the Midwest Finance Association. New Orleans. Yhdysvallat (USA).
Piljak Vanja. 2011. 15th International Conference on Macroeconomic Analysis and International Finance. Rethymno, Crete. Greece.
Piljak Vanja. 2011. 9th INFINITI Conference on International Finance. Dublin. Ireland.
Piljak Vanja. 2011. Nordic Finance Network (NFN) Research Workshop. Helsinki. Finland.
Äijö Janne. 2011. Global Finance conference.
Nikkinen Jussi. Kohde: RMIT. Australia. 2010. 2010.
Konferenssit
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[1]
- Johdannaisten hyödyntäminen energiayhtiön liiketoiminnassa
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