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Bjorn Jorgensen
Bjorn Jorgensen
Professor of Accounting
Verified email at cbs.dk - Homepage
Title
Cited by
Cited by
Year
Fat tails, VaR and subadditivity
J Daníelsson, BN Jorgensen, G Samorodnitsky, M Sarma, CG de Vries
Journal of econometrics 172 (2), 283-291, 2013
321*2013
Earnings management and accounting income aggregation
J Jacob, BN Jorgensen
Journal of Accounting and Economics 43 (2-3), 369-390, 2007
3172007
Discretionary risk disclosures
BN Jorgensen, MT Kirschenheiter
The Accounting Review 78 (2), 449-469, 2003
2702003
Are IFRS–US GAAP reconciliations informative?
E Gordon, BN Jorgensen, C Linthicum
University of Texas-San Antonio, 2013
163*2013
Public equity and audit pricing in the United States
B Badertscher, B Jorgensen, S Katz, W Kinney
Journal of Accounting Research 52 (2), 303-339, 2014
135*2014
Volatility, noise and incentives
G Baker, B Jorgensen
Harvard University and NBER Working Paper 7634, 2003
1102003
Implied cost of equity capital in earnings-based valuation: international evidence*
F Chen, BN Jorgensen, YK Yoo
Accounting and Business Research 34 (4), 323-344, 2004
1052004
Incentives for effective risk management
J Danıelsson, BN Jorgensen, CG De Vries
Journal of Banking & Finance 26 (7), 1407-1425, 2002
1042002
Flexibility in cash flow classification under IFRS: Determinants and consequences
CL Gordon, Elizabeth A., Henry, Elaine, Jorgensen, Bjorn N., Linthicum
Review of Accounting Studies 22 (2), 839-872, 2017
87*2017
On the presence and market-structure of exchanges around the world
MJ Clayton, BN Jorgensen, KA Kavajecz
Journal of Financial Markets 9 (1), 27-48, 2006
82*2006
Earnings dispersion and aggregate stock returns
B Jorgensen, J Li, G Sadka
Journal of Accounting and Economics 53 (1-2), 1-20, 2012
732012
Optimal cross holding with externalities and strategic interactions
MJ Clayton, BN Jorgensen
The Journal of Business 78 (4), 1505-1522, 2005
732005
Comparing downside risk measures for heavy tailed distributions
J Danielsson, BN Jorgensen, M Sarma, CG de Vries
Economics letters 92 (2), 202-208, 2006
722006
Domestic versus international portfolio selection: A statistical examination of the home bias
LR Gorman, B Jorgensen
Multinational Finance Journal 6 (3/4), 131-166, 2002
592002
The valuation accuracy of equity value estimates inferred from conventional empirical implementations of the abnormal earnings growth model: US evidence
BN Jorgensen, YG Lee, YK Yoo
Journal of Business Finance & Accounting 38 (3‐4), 446-471, 2011
54*2011
The shapes of scaled earnings histograms are not due to scaling and sample selection: Evidence from distributions of reported earnings per share
BN Jorgensen, YG Lee, S Rock
Contemporary Accounting Research 31 (2), 498-521, 2014
472014
Interactive discretionary disclosures
BN Jorgensen, MT Kirschenheiter
Contemporary Accounting Research 29 (2), 382-397, 2012
45*2012
Earnings quality: Evidence from Canadian firms' choice between IFRS and US GAAP
BM Burnett, EA Gordon, BN Jorgensen, CL Linthicum
Accounting Perspectives 14 (3), 212-249, 2015
39*2015
Optimal portfolio allocation under the probabilistic VaR constraint and incentives for financial innovation
J Daníelsson, BN Jorgensen, CG de Vries, X Yang
Annals of finance 4 (3), 345-367, 2008
37*2008
The Interplay between Mandatory Country-By-Country Reporting, Geographic Segment Reporting, and Tax Havens: Evidence from the European Union
RJ Brown, BN Jorgensen, PF Pope
Journal of Accounting and Public Policy 38 (2), 106-129, 2019
342019
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