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Grzegorz Pawlina
Grzegorz Pawlina
Professor of Finance, Lancaster University
Verified email at lancaster.ac.uk - Homepage
Title
Cited by
Cited by
Year
Is investment‐cash flow sensitivity caused by agency costs or asymmetric information? Evidence from the UK
G Pawlina, L Renneboog
European Financial Management 11 (4), 483-513, 2005
4492005
Real options in an asymmetric duopoly: Who benefits from your competitive disadvantage?
G Pawlina, PM Kort
Journal of Economics & Management Strategy 15 (1), 1-35, 2006
3322006
Uncertainty and stepwise investment
PM Kort, P Murto, G Pawlina
European Journal of Operational Research 202 (1), 196-203, 2010
109*2010
Strategic investment under uncertainty: Merging real options with game theory
KJM Huisman, PM Kort, G Pawlina, JJJ Thijssen
Zeitschrift für Betriebswirtschaft (Journal of Business Economics) 3, 97-124, 2004
952004
Underinvestment, capital structure and strategic debt restructuring
G Pawlina
Journal of Corporate Finance 16 (5), 679-702, 2010
912010
Investment under uncertainty and policy change
G Pawlina, PM Kort
Journal of Economic Dynamics and Control 29 (7), 1193-1209, 2005
752005
Leaders and followers in hot IPO markets
S Banerjee, U Güçbilmez, G Pawlina
Journal of Corporate Finance 37, 309-334, 2016
532016
A theory of net debt and transferable human capital
BM Lambrecht, G Pawlina
Review of Finance 17 (1), 321-368, 2013
442013
Making, buying, and concurrent sourcing: Implications for operating leverage and stock beta
BM Lambrecht, G Pawlina, JCA Teixeira
Review of Finance 20 (3), 1013-1043, 2015
38*2015
Optimal exercise of jointly held real options: A Nash bargaining approach with value diversion
S Banerjee, U Güçbilmez, G Pawlina
European Journal of Operational Research 239 (2), 565-578, 2014
37*2014
Strategic capital budgeting: Asset replacement under market uncertainty
G Pawlina, PM Kort
OR Spectrum 25 (4), 443-479, 2003
26*2003
Strategic investment under uncertainty: A survey of game theoretic real option models
KJM Huisman, PM Kort, G Pawlina, JJJ Thijssen
Journal of Financial Transformation 13, 111-118, 2005
23*2005
Household liquidity and incremental financing decisions: Theory and evidence
MR Cunha, BM Lambrecht, G Pawlina
Journal of Business Finance & Accounting 38 (7‐8), 1016-1052, 2011
222011
Determinants of outstanding mortgage loan to value ratios: Evidence from the Netherlands
MR Cunha, BM Lambrecht, G Pawlina
EFA 2009 Bergen Meetings Paper, 2013
162013
Strategic quality choice under uncertainty: A real options approach
G Pawlina, PM Kort
The Manchester School 78 (1), 1-19, 2010
16*2010
Corporate investment under uncertainty and competition: A real options approach
G Pawlina
Other publications TiSEM, 2003
112003
Effectiveness of Monitoring, Managerial Entrenchment, and Corporate Cash Holdings
P Couzoff, S Banerjee, G Pawlina
Journal of Corporate Finance 77, 102258, 2022
102022
IPO Waves and Hot Markets in the UK
S Banerjee, U Güçbilmez, G Pawlina
Handbook of Research on IPOs, 76-98, 2013
92013
What Can We Learn About Credit Risk From Debt Valuation Adjustments?
W Lin, A Panaretou, G Pawlina, C Shakespeare
Review of Accounting Studies, 2022
72022
Real options valuation of managerial flexibility in optimally structured M&A deals
G Pawlina
M&A Review 11, 568-575, 2002
42002
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