Items where Author is "Pawlina, G"

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Number of items: 16.

Cunha, M Ricardo and Lambrecht, B M and Pawlina, G (2011) Household liquidity and incremental financing decisions : theory and evidence. Journal of Business Finance and Accounting, 38 (7-8). pp. 1016-1052. ISSN 1468-5957

Pawlina, G (2010) Underinvestment, capital structure and strategic debt restructuring. Journal of Corporate Finance, 16 (5). pp. 679-702. ISSN 0929-1199

Pawlina, G and Kort, Peter M (2010) Strategic quality choice under uncertainty: a real options approach. Manchester School, 78 (1). pp. 1-19. ISSN 1463-6786

Lambrecht, B M and Pawlina, G (2010) Corporate finance and the (in)efficient exercise of real options. Multinational Finance Journal, 14 (1/2). pp. 129-156. ISSN 1096-1879

Cunha, R M and Lambrecht, B M and Pawlina, G (2008) The Dutch housing market: trends, risks and outlook. Journal of Financial Transformation, 22. pp. 18-22. ISSN 1755-361X

Pawlina, G and Kort, Peter M (2006) Real options in an asymmetric duopoly: who benefits from your competitive disadvantage? Journal of Economics and Management Strategy, 15 (1). pp. 1-35. ISSN 1058-6407

Pawlina, G and Renneboog, Luc D R (2005) Is investment-cash flow sensitivity caused by agency costs or asymmetric information? Evidence from the UK. European Financial Management, 11 (4). pp. 483-513. ISSN 1354-7798

Pawlina, G and Kort, Peter M (2005) Investment under uncertainty and policy change. Journal of Economic Dynamics and Control, 29 (7). pp. 1193-1209. ISSN 0165-1889

Huisman, K J M and Kort, P M and Pawlina, G and Thijssen, J J J (2005) Strategic investment under uncertainty: a survey of game theoretic real option models. Journal of Financial Transformation, 13. pp. 111-118. ISSN 1755-361X

Huisman, Kuno J M and Kort, Peter M and Pawlina, G and Thijssen, Jacco J J (2004) Strategic investment under uncertainty: merging real options with game theory. Zeitschrift für Betriebswirtschaft, 67 (3). pp. 97-123. ISSN 1861-8928

Pawlina, G and Kort, Peter M (2003) Strategic capital budgeting: asset replacement under market uncertainty. OR Spectrum, 25 (4). pp. 443-479. ISSN 0171-6468

Pawlina, G (2003) Real options vs NPV: the role of uncertainty, competitive position and the option to abandon. Rynek Terminowy, 22 (4). pp. 59-70.

Pawlina, G (2002) Firm's value maximization and the quality choice in a dynamic duopoly model (in Polish). In: Annals of the Collegium of Economic Analyses WSE. unknown, N/A, pp. 139-158.

Pawlina, G (2002) Real options valuation of managerial flexibility in optimally structured M and A deals. M and A Review, 11. pp. 568-575.

Pawlina, G (2000) When a static NPV does not work: the value of waiting to invest. Faces, 4. pp. 37-42.

Pawlina, G and Ruzik, A and Szapiro, T (1996) An attempt to model the black labour market. In: Proceedings of the LVIth Applied Econometrics Association Conference (Goteborg) - 1996. unknown, N/A.

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