Professor med særlige opgaver (mso)
, Ph.d.
Ken L. Bechmann
Institut for finansiering
Solbjerg Plads 3, A5.26
2000 Frederiksberg
Tlf.: + 45 3815 2953
Fax:+45 3815 3600
E-mail:
kb.fi@cbs.dk
Link til denne hjemmeside:
www.cbs.dk/staff/kbechmann
Tilknyttet
Danish Center for Accounting and Finance (D-CAF)
og
Center for Corporate Governance
Corporate finance/corporate governance
Kapitalstrukturteori
Finansielle markeder – aktiemarkedet
Market-microstructure
Primære forskningsområder
- Optionsaflønning
- Udbyttepolitik
- Aktiesplit og fondsaktieemissioner
- Tilbagekald af konvertible obligationer
- Investeringsforeninger
- Annonceringseffekter på det danske aktiemarked
Administrative funktioner
Medlem HD-F Studienævn
Medlem af Cand.merc. studienævn
Udvalgte publikationer
Bechmann, K. L. and T. Hjortshøj (2008), “Disclosed Values of Option-Based Compensation – Incompetence, Deliberate Underreporting or the Use of Expected Option Life”, forthcoming, European Accounting Review.
Bechmann, K. L. and J. Rangvid (2007), “Rating mutual funds: Construction and information content of an investor-cost based rating of Danish mutual funds”, Journal of Empirical Finance, vol. 14: 662-693.
Bechmann, K. L. and J. Raaballe (2007), “The Differences Between Stock Splits and Stock Dividends – Evidence on the Retained Earnings Hypothesis”, Journal of Business, Finance, and Accounting, vol. 34 (3&4): 574-604.
Bechmann, K. L. (2004), “Short Sales, Price Pressure, and the Stock Price Response to Convertible Bond Calls”, Journal of Financial Markets, 7 (4): 427-451.
Sidst opdateret af Drerek Moore 23.09.2010