Explaining stock market correlation: A gravity model approach TJ Flavin, MJ Hurley, F Rousseau The Manchester School 70 (S1), 87-106, 2002 | 183 | 2002 |
Identifying safe haven assets for equity investors through an analysis of the stability of shock transmission TJ Flavin, CE Morley, E Panopoulou Journal of international financial markets, institutions and money 33, 137-154, 2014 | 112 | 2014 |
The US and Irish credit crises: Their distinctive differences and common features G Connor, T Flavin, B O’Kelly Journal of International Money and Finance 31 (1), 60-79, 2012 | 106 | 2012 |
The effect of the Euro on country versus industry portfolio diversification TJ Flavin Journal of International Money and Finance 23 (7-8), 1137-1158, 2004 | 106 | 2004 |
On the stability of domestic financial market linkages in the presence of time-varying volatility TJ Flavin, E Panopoulou, D Unalmis Emerging Markets Review 9 (4), 280-301, 2008 | 49 | 2008 |
The role of US subprime mortgage-backed assets in propagating the crisis: contagion or interdependence? TJ Flavin, L Sheenan The North American Journal of Economics and Finance 34, 167-186, 2015 | 47 | 2015 |
The sequencing of stock market liberalization events and corporate financing decisions T Flavin, T O'Connor Emerging markets review 11 (3), 183-204, 2010 | 40 | 2010 |
The sequencing of stock market liberalization events and corporate financing decisions T Flavin, T O'Connor Emerging markets review 11 (3), 183-204, 2010 | 40 | 2010 |
Reputation building and the lifecycle model of dividends T Flavin, T O'Connor Pacific-Basin Finance Journal 46, 177-190, 2017 | 38 | 2017 |
Are banking shocks contagious? Evidence from the eurozone M Dungey, TJ Flavin, D Lagoa-Varela Journal of Banking & Finance 112, 105386, 2020 | 37 | 2020 |
Contagion in Eurozone sovereign bond markets? The good, the bad and the ugly D Cronin, TJ Flavin, L Sheenan Economics Letters 143, 5-8, 2016 | 33 | 2016 |
Macroeconomic influences on optimal asset allocation TJ Flavin, MR Wickens Review of Financial Economics 12 (2), 207-231, 2003 | 30 | 2003 |
Macroeconomic influences on optimal asset allocation TJ Flavin, MR Wickens Review of Financial Economics 12 (2), 207-231, 2003 | 30 | 2003 |
Detecting shift and pure contagion in East Asian equity markets: A Unified Approach TJ Flavin, E Panopoulou Pacific Economic Review 15 (3), 401-421, 2010 | 28 | 2010 |
Systematic and liquidity risk in subprime-mortgage backed securities M Dungey, GP Dwyer, T Flavin Open Economies Review 24, 5-32, 2013 | 24 | 2013 |
Systematic and liquidity risk in subprime-mortgage backed securities M Dungey, GP Dwyer, T Flavin Open Economies Review 24, 5-32, 2013 | 24 | 2013 |
Systematic and liquidity risk in subprime-mortgage backed securities M Dungey, GP Dwyer, T Flavin Open Economies Review 24, 5-32, 2013 | 24 | 2013 |
Strategic, unaffordability and dual-trigger default in the Irish mortgage market G Connor, T Flavin Journal of Housing Economics 28, 59-75, 2015 | 21 | 2015 |
On the robustness of international portfolio diversification benefits to regime-switching volatility TJ Flavin, E Panopoulou Journal of International Financial Markets, Institutions and Money 19 (1 …, 2009 | 21 | 2009 |
Non-financial corporations and systemic risk M Dungey, T Flavin, T O'Connor, M Wosser Journal of Corporate Finance 72, 102129, 2022 | 20 | 2022 |