Dean PHD, Professor - Research and Academic Resources Staff
Publications registered in Cristin
(Current research information system in Norway)
Øyvind Norli received his Phd. from the Norwegian School of Economics and Business Administration in 1999. During the period 1999 through 2004, Norli held the David Y. Timbrell Junior Professorship (assistant professor) at Rotman School of Management, University of Toronto. Between 2003 and 2005 Norli was a visiting assistant professor at the Tuck School of Business, Dartmouth College. Øyvind Norli has been at BI Norwegian Business School since 2005. His main research interests are empirical corporate finance and empirical asset pricing. Some of his papers are listed below.
Liquidity and Shareholder Activism, The Review of Financial Studies, vol. 28, Issue 2, February, 2015. With Charlotte Ostergaard and Ibolya Schindele.
Geographic Dispersion and Stock Returns, Journal of Financial Economics, vol. 106, Issue 3, December, 547--565, 2012. With Diego Garcia.
Sports sentiment and stock returns, Journal of Finance vol. 62, No. 4, 1967--1998, 2007, with Alex Edmans and Diego Garcia.
Seasoned public offerings: Resolution of the `new issues puzzle', Journal of Financial Economics vol. 56, No. 2, 251--291, 2000, with B. Espen Eckbo and Ronald W. Masulis.
|1999||Norwegian School of Economics||Ph.D.|
|2008 - Present||BI Norwegian Business School||Professor of Financial Economics|
|2005 - 2008||BI Norwegian Business School||Associate Professor|
|2003 - 2005||Tuck School of Business, Dartmouth College||Visiting Assistant Professor|
|1999 - 2004||Joseph L. Rotman School of Management, University of Toronto||Assistant Professor|