Cesario Mateus

Cesario Mateus

Aalborg Universitet

H-index: 22

Europe-Denmark

About Cesario Mateus

Cesario Mateus, With an exceptional h-index of 22 and a recent h-index of 16 (since 2020), a distinguished researcher at Aalborg Universitet, specializes in the field of Finance.

His recent articles reflect a diverse array of research interests and contributions to the field:

Searching for mutual fund winners? the strategy is to outbid both, the benchmark and the peer group

Return and volatility connectedness and net directional patterns in spillover transmissions: East and Southeast Asian equity markets

A Survey of Literature on the Interlinkage between Petroleum Prices and Equity Markets

Board characteristics and corporate governance: a historical review of the banking industry

Understanding interlinkages between petroleum prices and equity markets: A comprehensive survey of empirical evidence

Does equity mutual fund factor-risk-shifting pay off? Evidence from the US

Mutual Fund Performance: The Model for Selecting Persistent Winners

The market reaction to repurchase announcements

Cesario Mateus Information

University

Position

Professor of Finance Denmark

Citations(all)

1251

Citations(since 2020)

849

Cited By

664

hIndex(all)

22

hIndex(since 2020)

16

i10Index(all)

34

i10Index(since 2020)

27

Email

University Profile Page

Aalborg Universitet

Google Scholar

View Google Scholar Profile

Cesario Mateus Skills & Research Interests

Finance

Top articles of Cesario Mateus

Title

Journal

Author(s)

Publication Date

Searching for mutual fund winners? the strategy is to outbid both, the benchmark and the peer group

Applied Economics

Cesario Mateus

Irina Mateus

Natasa Todorovic

2023/2/27

Return and volatility connectedness and net directional patterns in spillover transmissions: East and Southeast Asian equity markets

International Review of Finance

Cesario Mateus

Miramir Bagirov

Irina Mateus

2024/3

A Survey of Literature on the Interlinkage between Petroleum Prices and Equity Markets

Miramir Bagirov

Cesario Mateus

2024/1/22

Board characteristics and corporate governance: a historical review of the banking industry

Bao Trung Hoang

Cesario Mateus

2024

Understanding interlinkages between petroleum prices and equity markets: A comprehensive survey of empirical evidence

Miramir Bagirov

Cesario Mateus

2023/11/18

Does equity mutual fund factor-risk-shifting pay off? Evidence from the US

The European Journal of Finance

Cesario Mateus

Sohan Sarwar

Natasa Todorovic

2023/3/4

Mutual Fund Performance: The Model for Selecting Persistent Winners

Natasha, Mutual Fund Performance: The Model for Selecting Persistent Winners

Cesario Mateus

Irina B Mateus

Natasha Todorovic

2023

The market reaction to repurchase announcements

Journal of Risk and Financial Management

Adhiraj Sodhi

Cesario Mateus

Irina Mateus

Aleksandar Stojanovic

2023/10/12

The business cycle’s influence on share repurchases of the UK

Journal of Economic Analysis

Adhiraj Sodhi

Cesario Mateus

Irina B Mateus

2023/9/13

Determinants of repurchase size: evidence from the UK

Journal of Risk and Financial Management

Adhiraj Sodhi

Cesario Mateus

Irina Mateus

Aleksandar Stojanovic

2023/9/7

How does liberalization affect emerging stock markets? Theories and empirical evidence

Bao Trung Hoang

Cesario Mateus

2023/5/7

COVID-19 pandemic in the V4 countries: An empirical investigation of variations across firm sizes and business sectors

Available at SSRN 4183780

Cesario Mateus

Erika Jákia

Béla Kádár

Andrea Balla

2022/8/7

Does board composition and ownership structure affect banks’ systemic risk? European evidence

Journal of Banking Regulation

José María Díez-Esteban

Jorge Bento Farinha

Conrado Diego García-Gómez

Cesario Mateus

2022/6

Petroleum prices and equity sector returns in petroleum exporting and importing countries: An analysis of volatility transmissions and hedging

Applied Economics

Miramir Bagirov

Cesario Mateus

2022/5/15

Entrepreneurial Finance, Innovation and Development A Research Companion: Foreign Portfolio Investment: Opportunities or Challenges for Transition Countries?

Cesario Mateus

2021

Frontier markets, liberalization and informational efficiency: Evidence from Vietnam

Asia-Pacific Financial Markets

Cesario Mateus

Bao Trung Hoang

2021/12

The impact of board characteristics and CEO power on banks’ risk-taking: stable versus crisis periods

Journal of Banking Regulation

Catarina Fernandes

Jorge Farinha

Francisco Vitorino Martins

Cesario Mateus

2021/12

Foreign portfolio investment: Opportunities or challenges for transition countries?

Cesario Mateus

Trung Bao Hoang

2021/11/29

National culture and small firms' use of trade credit: Evidence from Europe

Global Finance Journal

Andrea Moro

Yacine Belghitar

Cesario Mateus

2021/8/1

Does a VAT rise harm the tourism industry? Portuguese evidence

Tourism Management

Cesario Mateus

Irina B Mateus

2021/4/1

See List of Professors in Cesario Mateus University(Aalborg Universitet)

Co-Authors

H-index: 23
Andrea Moro

Andrea Moro

Cranfield University

H-index: 23
Yacine Belghitar

Yacine Belghitar

Cranfield University

H-index: 19
Dennis Olson

Dennis Olson

Zayed University

H-index: 17
Ana Paula Matias Gama

Ana Paula Matias Gama

Universidade da Beira Interior

H-index: 16
Jorge Farinha

Jorge Farinha

Universidade do Porto

H-index: 13
Guilherme Kirch

Guilherme Kirch

Universidade Federal do Rio Grande do Sul

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