Latest Research in Financial Markets and Investment Strategies

117 research papers · 0.0 average citations · 2026 median publication year

Top Research Topics in Financial Markets and Investment Strategies

Highest-Cited Papers

  1. Reference‐Dependent Preferences and Sentiment‐Driven Asset Prices (1 citations)
  2. New edge proposed: liquidity_trap_reversal_above_below_daily_level — E8 Intelligence Research
  3. The older, the better: information uncertainty and stock price crash risk in China's A-share market
  4. Time is Money: An Investment in Luxury Watches
  5. Testing rational and behavioral predictions to long-term reversal: industry evidence from Latin America
  6. New edge proposed: liquidity_trap_reversal_above_below_daily_level — E8 Intelligence Research
  7. MODEL ADOPTION #2383: REJECT — LEDGER BENCH: Apply filter: Quarterly phase = ACCUMULATION — improves win rate from 31.2% — E8 Intelligence Research
  8. Evaluating Defined Outcome Buffer Strategies
  9. Stable sentiment and persistent dynamics in U.S. economic news over 45 years
  10. New edge proposed: amu_spread_of_meeting_heights — E8 Intelligence Research
  11. Non-linear Dynamics of Economic Policy Uncertainty and Bank Stock Returns in India
  12. MODEL ADOPTION #2334: REJECT — LEDGER BENCH: Apply filter: Min confirmations >= 6 — improves win rate from 31.6% to 40.3% — E8 Intelligence Research
  13. MODEL ADOPTION #2334: REJECT — LEDGER BENCH: Apply filter: Min confirmations >= 6 — improves win rate from 31.6% to 40.3% — E8 Intelligence Research
  14. Who Aggregates Information? Screening, Rent, and the Coexistence of CLOB and AMM Prediction Markets
  15. Special Issue: “Advancements in Actuarial Mathematics and Insurance Risk Management”
  16. The identification of systemically important financial institutions from the aspect of “Too Connected to Fail”
  17. A quarter century after the 1997 Asian crisis: Looking back, where are we now?
  18. Economic Policy Uncertainty and Bank‐Level Stock Returns Volatility of the United States: A Mixed‐Frequency Perspective
  19. Systemic shocks and firm-level stock performance: evidence from Vietnam
  20. The Influence of Perceived Undervaluation on the Duration of Share Repurchase Programmes
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L3 Region - - 2026 Sep Q3

Financial Markets and Investment Strategies

117 papers

Top Topics (10)

Financial Markets and Investment Strategies20
Intelligence, Security, War Strategy20
Competitive and Knowledge Intelligence10
COVID-19 Pandemic Impacts4
Corporate Finance and Governance4
Complex Systems and Time Series Analysis4
Market Dynamics and Volatility3
Global Financial Crisis and Policies3
General Economics2
Mathematical Finance2

Top Publications (20)

1.Reference‐Dependent Preferences and Sentiment‐Driven Asset Prices1c2.New edge proposed: liquidity_trap_reversal_above_below_daily_level — E8 Intelligence Research3.The older, the better: information uncertainty and stock price crash risk in China's A-share market4.Time is Money: An Investment in Luxury Watches5.Testing rational and behavioral predictions to long-term reversal: industry evidence from Latin America6.New edge proposed: liquidity_trap_reversal_above_below_daily_level — E8 Intelligence Research7.MODEL ADOPTION #2383: REJECT — LEDGER BENCH: Apply filter: Quarterly phase = ACCUMULATION — improves win rate from 31.2% — E8 Intelligence Research8.Evaluating Defined Outcome Buffer Strategies9.Stable sentiment and persistent dynamics in U.S. economic news over 45 years10.New edge proposed: amu_spread_of_meeting_heights — E8 Intelligence Research11.Non-linear Dynamics of Economic Policy Uncertainty and Bank Stock Returns in India12.MODEL ADOPTION #2334: REJECT — LEDGER BENCH: Apply filter: Min confirmations >= 6 — improves win rate from 31.6% to 40.3% — E8 Intelligence Research13.MODEL ADOPTION #2334: REJECT — LEDGER BENCH: Apply filter: Min confirmations >= 6 — improves win rate from 31.6% to 40.3% — E8 Intelligence Research14.Who Aggregates Information? Screening, Rent, and the Coexistence of CLOB and AMM Prediction Markets15.Special Issue: “Advancements in Actuarial Mathematics and Insurance Risk Management”16.The identification of systemically important financial institutions from the aspect of “Too Connected to Fail”17.A quarter century after the 1997 Asian crisis: Looking back, where are we now?18.Economic Policy Uncertainty and Bank‐Level Stock Returns Volatility of the United States: A Mixed‐Frequency Perspective19.Systemic shocks and firm-level stock performance: evidence from Vietnam20.The Influence of Perceived Undervaluation on the Duration of Share Repurchase Programmes
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