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SEUNGHO BAEK
SEUNGHO BAEK
Brooklyn College and the Graduate Center of the City University of New York (CUNY)
Verified email at gc.cuny.edu
Title
Cited by
Cited by
Year
COVID-19 and stock market volatility: An industry level analysis
S Baek, SK Mohanty, M Glambosky
Finance research letters 37, 101748, 2020
7632020
The risk transmission of COVID-19 in the US stock market
S Baek, KY Lee
Applied Economics 53 (17), 1976-1990, 2021
792021
Assessment of thirty‐day readmission rate, timing, causes and predictors after hospitalization with COVID‐19
I Yeo, S Baek, J Kim, H Elshakh, A Voronina, MS Lou, J Vapnik, R Kaler, ...
Journal of Internal Medicine 290 (1), 157-165, 2021
752021
Size and value risk in financial firms
S Baek, JFO Bilson
Journal of Banking & Finance 55, 295-326, 2015
652015
Diversification in Korean banking business: is non-interest income a financial saviour?
S Baek, KY Lee, JW Lee, S Mohanty
Journal of Emerging Market Finance 17 (3_suppl), S299-S326, 2018
272018
Robo-advisors: Machine learning in trend-following ETF investments
S Baek, KY Lee, M Uctum, SH Oh
Sustainability 12 (16), 6399, 2020
212020
Nonparametric factor analytic risk measurement in common stocks in financial firms: Evidence from Korean firms
S Baek, JD Cursio, SY Cha
Asia‐Pacific Journal of Financial Studies 44 (4), 497-536, 2015
202015
Macroeconomic impact and stock returns' vulnerability by size, solvency, and financial distress
C Baek, S Baek, M Glambosky
Finance Research Letters 59, 104718, 2024
192024
Machine learning and algorithmic pairs trading in futures markets
S Baek, M Glambosky, SH Oh, J Lee
Sustainability 12 (17), 6791, 2020
192020
Does ESG enhance asset quality and funding cost management in banking diversification?
S Baek, M Kang
Finance Research Letters 73, 106542, 2025
152025
ESG ratings and macroeconomic risks in the Asian emerging stock markets
S Baek, M Song
Applied Economics Letters 32 (10), 1455-1460, 2025
142025
Capital structure and monitoring bank failure
S Baek, SK Balasubramanian, KY Lee
Journal of Accounting and Finance 15 (4), 95, 2015
112015
Assessing hedge fund performance with institutional constraints: evidence from CTA funds
M Molyboga, S Baek, JFO Bilson
Journal of Asset Management 18 (7), 547-565, 2017
92017
The effect of the diversification in Korean banks: The impact on profit and risk.
S Baek, SY Cha, N Lee
Journal of Accounting & Finance (2158-3625) 15 (2), 2015
72015
Market leverage, debt heterogeneity, and equity returns
M Kang, S Baek
Financial Management 53 (4), 715-747, 2024
62024
Yield curve risks in currency carry forwards
S Baek, JW Lee, KJ Oh, M Lee
Journal of Futures Markets 40 (4), 651-670, 2020
62020
Graph-Assisted Stitching for Offline Hierarchical Reinforcement Learning
S Baek, T Park, J Park, S Oh, Y Kim
arXiv preprint arXiv:2506.07744, 2025
52025
Monetary policy, COVID-19 immunization, and risk in the US stock markets
S Baek, KY Lee
Cogent Economics & Finance 10 (1), 2148365, 2022
52022
The influence of credit ratings on capital structure
JD Cursio, S Baek
Available at SSRN 2552922, 2016
52016
Using a principal component analysis for multi-currencies-trading in the foreign exchange market
HW Byun, S Baek, JJ Ahn, KJ Oh, TY Kim
Intelligent Data Analysis 19 (3), 683-697, 2015
52015
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Articles 1–20