Bjørn N. Jørgensen
(Bjorn N. Jorgensen)
Personal Details
First Name: | Bjorn |
Middle Name: | N. |
Last Name: | Jorgensen |
Suffix: | |
RePEc Short-ID: | pjo56 |
[This author has chosen not to make the email address public] | |
http://www.lse.ac.uk/accounting/facultyAndStaff/profiles/Jorgensen.aspx | |
Terminal Degree: | 1999 Kellogg Graduate School of Management; Northwestern University (from RePEc Genealogy) |
Affiliation
London School of Economics (LSE)
London, United Kingdomhttp://www.lse.ac.uk/
RePEc:edi:lsepsuk (more details at EDIRC)
Research output
Jump to: Working papers ArticlesWorking papers
- Chen, Hui & Jorgensen, Bjorn, 2018.
"Market exit through divestment: the effect of accounting bias on competition,"
LSE Research Online Documents on Economics
64217, London School of Economics and Political Science, LSE Library.
- Hui Chen & Bjorn N. Jorgensen, 2018. "Market Exit Through Divestment—The Effect of Accounting Bias on Competition," Management Science, INFORMS, vol. 64(1), pages 164-177, January.
- Ormazabal, Gaizka & Badia, Marc & Duro, Miguel & Jorgensen, Bjorn N., 2018.
"The Informational Effects of Tightening Oil and Gas Disclosure Rules,"
CEPR Discussion Papers
12776, C.E.P.R. Discussion Papers.
- Marc Badia & Miguel Duro & Bjorn N. Jorgensen & Gaizka Ormazabal & Hans B. Christensen, 2020. "The Informational Effects of Tightening Oil and Gas Disclosure Rules," Contemporary Accounting Research, John Wiley & Sons, vol. 37(3), pages 1720-1755, September.
- Ormazabal, Gaizka & Badia, Marc & Duro, Miguel & Jorgensen, Bjorn N., 2017. "Market-wide Effects of Off-Balance Sheet Disclosures:," CEPR Discussion Papers 12152, C.E.P.R. Discussion Papers.
- Gordon, Elizabeth A. & Henry, Elaine & Jorgensen, Bjorn N. & Linthicum, Cheryl L., 2017.
"Flexibility in cash-flow classification under IFRS: determinants and consequences,"
LSE Research Online Documents on Economics
67367, London School of Economics and Political Science, LSE Library.
- Elizabeth A. Gordon & Elaine Henry & Bjorn N. Jorgensen & Cheryl L. Linthicum, 2017. "Flexibility in cash-flow classification under IFRS: determinants and consequences," Review of Accounting Studies, Springer, vol. 22(2), pages 839-872, June.
- Jorgensen, Bjorn N. & Morley, Julia, 2017. "Discussion of “are related party transactions red flags?”," LSE Research Online Documents on Economics 80801, London School of Economics and Political Science, LSE Library.
- Burnett, Brian M. & Jorgensen, Bjorn N. & Pollard, Troy J., 2017. "The stock market reaction to losing or gaining foreign private issuer status," LSE Research Online Documents on Economics 67900, London School of Economics and Political Science, LSE Library.
- Burnett, Brian M. & Gordon, Elizabeth A. & Jorgensen, Bjorn N. & Linthicum, Cheryl L., 2015.
"Earnings quality: evidence from Canadian firms’ choice between IFRS and U.S. GAAP,"
LSE Research Online Documents on Economics
62325, London School of Economics and Political Science, LSE Library.
- Brian M. Burnett & Elizabeth A. Gordon & Bjorn N. Jorgensen & Cheryl L. Linthicum, 2015. "Earnings Quality: Evidence from Canadian Firms' Choice between IFRS and U.S. GAAP," Accounting Perspectives, John Wiley & Sons, vol. 14(3), pages 212-249, September.
- Elizabeth A. Gordon & Elaine Henry & Bjorn N. Jorgensen & Cheryl L. Linthicum, 2013. "Flexibility in Cash Flow Reporting Classification Choices under IFRS," Working Papers 0199acc, College of Business, University of Texas at San Antonio.
- Elizabeth A. Gordon & Bjorn N. Jorgensen & Cheryl L. Linthicum, 2011. "Could IFRS Replace US GAAP? A Comparison of Earnings Attributes and Informativeness in the US Market," Working Papers 0028, College of Business, University of Texas at San Antonio.
- Danielsson, Jon & Zigrand, Jean-Pierre & Jorgensen, Bjørn N. & Sarma, Mandira & de Vries, C. G., 2006.
"Consistent measures of risk,"
LSE Research Online Documents on Economics
24517, London School of Economics and Political Science, LSE Library.
- Casper G. de Vries & Mandira Sarma & Bjørn N. Jorgensen & Jean-Pierre Zigrand & Jon Danielsson, 2006. "Consistent Measures of Risk," FMG Discussion Papers dp565, Financial Markets Group.
- Danielsson, Jon & Jorgensen, Bjørn N. & Sarma, Mandira & Vries, C. G. de, 2005.
"Comparing downside risk measures for heavy tailed distribution,"
LSE Research Online Documents on Economics
24671, London School of Economics and Political Science, LSE Library.
- Danielsson, Jon & Jorgensen, Bjorn N. & Sarma, Mandira & de Vries, Casper G., 2006. "Comparing downside risk measures for heavy tailed distributions," Economics Letters, Elsevier, vol. 92(2), pages 202-208, August.
- Casper G. de Vries & Bjørn N. Jorgensen & Sarma Mandira & Jon Danielsson, 2005. "Comparing Downside Risk Measures for Heavy Tailed Distributions," FMG Discussion Papers dp551, Financial Markets Group.
- Danielsson, Jon & Jorgensen, Bjørn N. & Mandira, Sarma & Samorodnitsky, Gennady & Vries, C. G. de, 2005.
"Subadditivity re–examined: the case for value-at-risk,"
LSE Research Online Documents on Economics
24668, London School of Economics and Political Science, LSE Library.
- Casper G. de Vries & Gennady Samorodnitsky & Bjørn N. Jorgensen & Sarma Mandira & Jon Danielsson, 2005. "Subadditivity Re–Examined: the Case for Value-at-Risk," FMG Discussion Papers dp549, Financial Markets Group.
- Jón Daníelsson & Bjørn N. Jorgensen & Casper G. de Vries & Xiaogang Yang, 2001. "Optimal Portfolio Allocation under a Probabilistic Risk Constraint and the Incentives for Financial Innovation," Tinbergen Institute Discussion Papers 01-069/2, Tinbergen Institute.
- Jón Daníelsson & Bjørn N. Jorgensen & Casper G. de Vries, 2001.
"Incentives for Effective Risk Management,"
Tinbergen Institute Discussion Papers
01-094/2, Tinbergen Institute.
- Danielsson, Jon & Jorgensen, Bjorn N. & de Vries, Casper G., 2002. "Incentives for effective risk management," Journal of Banking & Finance, Elsevier, vol. 26(7), pages 1407-1425, July.
- Matthew J. Clayton & Bjorn N. Jorgensen & Kenneth A. Kavajecz, 1999.
"On the Formation and Structure of International Exchanges,"
New York University, Leonard N. Stern School Finance Department Working Paper Seires
99-057, New York University, Leonard N. Stern School of Business-.
- Matthew J. Clayton & Bjorn N. Jorgensen & Kenneth A. Kavajecz, 1999. "On the Formation and Structure of International Exchanges," Tinbergen Institute Discussion Papers 99-079/2, Tinbergen Institute.
- Matthew J. Clayton & Bjorn N. Jorgensen & Kenneth A. Kavajecz, "undated". "On the Formation and Structure of International Exchanges," Rodney L. White Center for Financial Research Working Papers 22-99, Wharton School Rodney L. White Center for Financial Research.
- Matthew J. Clayton & Bjorn N. Jorgensen, 1998.
"Cross Holding and Imperfect Product Markets,"
New York University, Leonard N. Stern School Finance Department Working Paper Seires
98-020, New York University, Leonard N. Stern School of Business-.
- Matthew J. Clayton & Bjorn N. Jorgensen, 1999. "Cross Holding and Imperfect Product Markets," New York University, Leonard N. Stern School Finance Department Working Paper Seires 99-058, New York University, Leonard N. Stern School of Business-.
Articles
- Dan Amiram & Bjørn N. Jørgensen & Daniel Rabetti, 2022. "Coins for Bombs: The Predictive Ability of On‐Chain Transfers for Terrorist Attacks," Journal of Accounting Research, Wiley Blackwell, vol. 60(2), pages 427-466, May.
- Stavros Degiannakis & George Giannopoulos & Salma Ibrahim & Bjørn N. Jørgensen, 2022. "An alternative approach to detect earnings management to meet or beat benchmarks," Journal of Accounting Literature, Emerald Group Publishing Limited, vol. 45(1), pages 64-99, November.
- Hend Monjed & Salma Ibrahim & Bjørn N. Jørgensen, 2022. "Risk reporting and earnings smoothing: signaling or managerial opportunism?," Review of Accounting and Finance, Emerald Group Publishing Limited, vol. 21(5), pages 377-397, September.
- Hui Chen & Bjorn N. Jorgensen, 2022. "Insider Trading, Competition, and Real Activities Manipulation," Management Science, INFORMS, vol. 68(2), pages 1497-1511, February.
- Jørgensen, Bjørn N. & Kavajecz, Kenneth A. & Swisher, Scott N., 2021. "The historical dynamics of US financial exchanges," Financial History Review, Cambridge University Press, vol. 28(2), pages 153-174, August.
- Marc Badia & Miguel Duro & Bjorn N. Jorgensen & Gaizka Ormazabal & Hans B. Christensen, 2020.
"The Informational Effects of Tightening Oil and Gas Disclosure Rules,"
Contemporary Accounting Research, John Wiley & Sons, vol. 37(3), pages 1720-1755, September.
- Ormazabal, Gaizka & Badia, Marc & Duro, Miguel & Jorgensen, Bjorn N., 2018. "The Informational Effects of Tightening Oil and Gas Disclosure Rules," CEPR Discussion Papers 12776, C.E.P.R. Discussion Papers.
- Hui Chen & Bjorn N. Jorgensen, 2018.
"Market Exit Through Divestment—The Effect of Accounting Bias on Competition,"
Management Science, INFORMS, vol. 64(1), pages 164-177, January.
- Chen, Hui & Jorgensen, Bjorn, 2018. "Market exit through divestment: the effect of accounting bias on competition," LSE Research Online Documents on Economics 64217, London School of Economics and Political Science, LSE Library.
- Elizabeth A. Gordon & Elaine Henry & Bjorn N. Jorgensen & Cheryl L. Linthicum, 2017.
"Flexibility in cash-flow classification under IFRS: determinants and consequences,"
Review of Accounting Studies, Springer, vol. 22(2), pages 839-872, June.
- Gordon, Elizabeth A. & Henry, Elaine & Jorgensen, Bjorn N. & Linthicum, Cheryl L., 2017. "Flexibility in cash-flow classification under IFRS: determinants and consequences," LSE Research Online Documents on Economics 67367, London School of Economics and Political Science, LSE Library.
- Bjorn N. Jorgensen & Julia Morley, 2017. "Discussion of “Are Related Party Transactions Red Flags?â€," Contemporary Accounting Research, John Wiley & Sons, vol. 34(2), pages 929-939, June.
- Brian M. Burnett & Elizabeth A. Gordon & Bjorn N. Jorgensen & Cheryl L. Linthicum, 2015.
"Earnings Quality: Evidence from Canadian Firms' Choice between IFRS and U.S. GAAP,"
Accounting Perspectives, John Wiley & Sons, vol. 14(3), pages 212-249, September.
- Burnett, Brian M. & Gordon, Elizabeth A. & Jorgensen, Bjorn N. & Linthicum, Cheryl L., 2015. "Earnings quality: evidence from Canadian firms’ choice between IFRS and U.S. GAAP," LSE Research Online Documents on Economics 62325, London School of Economics and Political Science, LSE Library.
- Bjorn N. Jorgensen & Michael T. Kirschenheiter, 2015. "Discretionary Disclosures to Risk†Averse Traders: A Research Note," Contemporary Accounting Research, John Wiley & Sons, vol. 32(3), pages 1224-1235, September.
- Yuri Biondi & Eiko Tsujiyama & Jonathan Glover & Nicole T. Jenkins & Bjorn Jorgensen & John Lacey & Richard Macve, 2014. "'Old Hens Make the Best Soup': Accounting for the Earning Process and the IASB/FASB Attempts to Reform Revenue Recognition Accounting Standards," Accounting in Europe, Taylor & Francis Journals, vol. 11(1), pages 13-33, June.
- Brad Badertscher & Bjorn Jorgensen & Sharon Katz & William Kinney, 2014. "Public Equity and Audit Pricing in the United States," Journal of Accounting Research, Wiley Blackwell, vol. 52(2), pages 303-339, May.
- Bjorn N. Jorgensen & Yong Gyu Lee & Steve Rock, 2014. "The Shapes of Scaled Earnings Histograms Are Not Due to Scaling and Sample Selection: Evidence from Distributions of Reported Earnings per Share," Contemporary Accounting Research, John Wiley & Sons, vol. 31(2), pages 498-521, June.
- Daníelsson, Jón & Jorgensen, Bjørn N. & Samorodnitsky, Gennady & Sarma, Mandira & de Vries, Casper G., 2013. "Fat tails, VaR and subadditivity," Journal of Econometrics, Elsevier, vol. 172(2), pages 283-291.
- Anne Gron & Bjørn N. Jørgensen & Nicholas G. Polson, 2012. "Optimal portfolio choice and stochastic volatility," Applied Stochastic Models in Business and Industry, John Wiley & Sons, vol. 28(1), pages 1-15, January.
- Bjorn N. Jorgensen & Michael T. Kirschenheiter, 2012. "Interactive Discretionary Disclosures," Contemporary Accounting Research, John Wiley & Sons, vol. 29(2), pages 382-397, June.
- Jorgensen, Bjorn & Li, Jing & Sadka, Gil, 2012. "Earnings dispersion and aggregate stock returns," Journal of Accounting and Economics, Elsevier, vol. 53(1), pages 1-20.
- Clayton, Matthew J. & Jorgensen, Bjorn N., 2011. "Corporate equity ownership, investment, and product market relationships," Journal of Corporate Finance, Elsevier, vol. 17(5), pages 1377-1388.
- Bjorn N. Jorgensen & Yong Gyu Lee & Yong Keun Yoo, 2011. "The Valuation Accuracy of Equity Value Estimates Inferred from Conventional Empirical Implementations of the Abnormal Earnings Growth Model: US Evidence," Journal of Business Finance & Accounting, Wiley Blackwell, vol. 38(3-4), pages 446-471, April.
- Jón Daníelsson & Bjørn Jorgensen & Casper Vries & Xiaoguang Yang, 2008. "Optimal portfolio allocation under the probabilistic VaR constraint and incentives for financial innovation," Annals of Finance, Springer, vol. 4(3), pages 345-367, July.
- Jacob, John & Jorgensen, Bjorn N., 2007. "Earnings management and accounting income aggregation," Journal of Accounting and Economics, Elsevier, vol. 43(2-3), pages 369-390, July.
- Danielsson, Jon & Jorgensen, Bjorn N. & Sarma, Mandira & de Vries, Casper G., 2006.
"Comparing downside risk measures for heavy tailed distributions,"
Economics Letters, Elsevier, vol. 92(2), pages 202-208, August.
- Danielsson, Jon & Jorgensen, Bjørn N. & Sarma, Mandira & Vries, C. G. de, 2005. "Comparing downside risk measures for heavy tailed distribution," LSE Research Online Documents on Economics 24671, London School of Economics and Political Science, LSE Library.
- Casper G. de Vries & Bjørn N. Jorgensen & Sarma Mandira & Jon Danielsson, 2005. "Comparing Downside Risk Measures for Heavy Tailed Distributions," FMG Discussion Papers dp551, Financial Markets Group.
- Clayton, Matthew J. & Jorgensen, Bjorn N. & Kavajecz, Kenneth A., 2006. "On the presence and market-structure of exchanges around the world," Journal of Financial Markets, Elsevier, vol. 9(1), pages 27-48, February.
- Matthew J. Clayton & Bjorn N. Jorgensen, 2005. "Optimal Cross Holding with Externalities and Strategic Interactions," The Journal of Business, University of Chicago Press, vol. 78(4), pages 1505-1522, July.
- Beatty, Anne & Gron, Anne & Jorgensen, Bjorn, 2005. "Corporate risk management: evidence from product liability," Journal of Financial Intermediation, Elsevier, vol. 14(2), pages 152-178, April.
- Feng Chen & Bjorn Jorgensen & Yong Yoo, 2004. "Implied cost of equity capital in earnings-based valuation: international evidence," Accounting and Business Research, Taylor & Francis Journals, vol. 34(4), pages 323-344.
- Danielsson, Jon & Jorgensen, Bjorn N. & de Vries, Casper G., 2002.
"Incentives for effective risk management,"
Journal of Banking & Finance, Elsevier, vol. 26(7), pages 1407-1425, July.
- Jón Daníelsson & Bjørn N. Jorgensen & Casper G. de Vries, 2001. "Incentives for Effective Risk Management," Tinbergen Institute Discussion Papers 01-094/2, Tinbergen Institute.
- Larry R. Gorman & Bjorn N. Jorgensen, 2002. "Domestic versus International Portfolio Selection: A Statistical Examination of the Home Bias," Multinational Finance Journal, Multinational Finance Journal, vol. 6(3-4), pages 131-166, September.
- Jón Daníelsson & Casper G. De Vries & Bjorn N. Jorgensen, 1998. "The value of value at risk: statistical, financial, and regulatory considerations (summary)," Economic Policy Review, Federal Reserve Bank of New York, vol. 4(Oct), pages 107-108.
- Jorgensen, Bjorn N. & Mikkelsen, Hans Ole ae, 1996.
"An arbitrage free trilateral target zone model,"
Journal of International Money and Finance, Elsevier, vol. 15(1), pages 117-134, February.
RePEc:eme:raf000:raf-10-2021-0286 is not listed on IDEAS
RePEc:eme:jal000:jal-02-2022-0027 is not listed on IDEAS
More information
Research fields, statistics, top rankings, if available.Statistics
Access and download statistics for all items
Co-authorship network on CollEc
NEP Fields
NEP is an announcement service for new working papers, with a weekly report in each of many fields. This author has had 7 papers announced in NEP. These are the fields, ordered by number of announcements, along with their dates. If the author is listed in the directory of specialists for this field, a link is also provided.- NEP-RMG: Risk Management (3) 2005-12-09 2005-12-09 2006-06-17
- NEP-ENE: Energy Economics (2) 2017-07-30 2018-04-02
- NEP-ACC: Accounting and Auditing (1) 2017-12-03
- NEP-COM: Industrial Competition (1) 2017-12-03
- NEP-FIN: Finance (1) 2006-06-17
- NEP-FMK: Financial Markets (1) 2006-06-17
- NEP-HIS: Business, Economic and Financial History (1) 1999-12-01
- NEP-IND: Industrial Organization (1) 1999-12-01
- NEP-PPM: Project, Program and Portfolio Management (1) 2017-12-03
- NEP-REG: Regulation (1) 2018-04-02
- NEP-UPT: Utility Models and Prospect Theory (1) 2006-06-17
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