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Rosanne Vanpée
Rosanne Vanpée
Professor International Financial Management, KU Leuven
Verified email at hubrussel.be - Homepage
Title
Cited by
Cited by
Year
Home bias in international equity portfolios: A review
P Sercu, R Vanpée
Available at SSRN 1025806, 2007
1512007
The Equity Home Bias Puzzle: A Survey
I Cooper, P Sercu, R Vanpée
Foundations and Trends® in Finance 7 (4), 289-416, 2012
1492012
Subjectivity in sovereign credit ratings
L De Moor, P Luitel, P Sercu, R Vanpée
Journal of Banking & Finance 88, 366-392, 2018
862018
Estimating the costs of international equity investments
P Sercu, R Vanpée
Review of Finance 12 (4), 587-634, 2008
602008
Pernicious effects: How the credit rating agencies disadvantage emerging markets
P Luitel, R Vanpee, L De Moor
Research in International Business and Finance 38, 286-298, 2016
352016
A measure of pure home bias
IA Cooper, P Sercu, R Vanpée
Review of Finance 22 (4), 1469-1514, 2018
322018
Bond and equity home bias and foreign bias: An international study
R Vanpée, L De Moor
Katholieke Univ. Leuven, Faculty of Business and Economics, 2012
282012
What drives international equity and bond holdings? An empirical study
L De Moor, R Vanpée
Applied Financial Economics 23 (13), 1067-1082, 2013
242013
The home bias puzzle in equity portfolios
P Sercu, R Vanpée
International Finance: A Survey, 310-331, 2012
182012
Mutual fund performance: A market efficiency perspective
T Verheyden, L De Moor, R Vanpée
Investment Analysts Journal 45 (1), 1-15, 2016
172016
The plausibility of risk estimates and implied costs to international equity investments
L De Moor, P Sercu, R Vanpée
Journal of Empirical Finance 17 (4), 623-644, 2010
162010
How do sovereign credit ratings help to financially develop low-developed countries?
P Luitel, R Vanpée
Available at SSRN 3287881, 2018
142018
The equity home bias: Survey and synthesis
I Cooper, P Sercu, R Vanpee
Foundations and Trends in Finance 7 (4), 289-416, 2013
132013
Home bias in international equity portfolios
P Sercu, R Vanpée
Survey of International Finance, 2007
82007
Foreign bias in equity portfolios: Informational advantage or familiarity bias?
M Adriaan Boermans, IA Cooper, P Sercu, R Vanpee
De Nederlandsche Bank Working Paper, 2022
72022
Sustainability and sovereign credit risk
A Anand, R Vanpée, I Lončarski
International Review of Financial Analysis 86, 102494, 2023
52023
Pernicious effects: How the credit rating agencies disadvantage emerging markets. Research in International Business and Finance 38: 286-298
P Luitel, R Vanpée, L De Moor
52016
My global fund portfolio is not yours: the effect of home bias on European-and US-managed convertible bond fund exposures
G Van Campenhout, R Vanpée
The European Journal of Finance 23 (14), 1335-1361, 2017
32017
Sovereign credit risk modeling using machine learning: a novel approach to sovereign credit risk incorporating private sector and sustainability risks
A Anand, B Baesens, R Vanpee
Journal of Credit Risk 19 (1), 2023
22023
Was Regulation (EC) No 1060/2009 on Credit Rating Agencies effective?
O Nataf, L De Moor, R Vanpée
Journal of Banking Regulation 19, 299-316, 2018
22018
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