Geert Bekaert

Active 1992–2024

43
Papers
28,000
Citations
41
h-index
42
i10-index

Citations

Citations per year for Geert Bekaert1930: 1 citations1992: 3 citations1993: 5 citations1994: 5 citations1995: 18 citations1996: 16 citations1997: 19 citations1998: 13 citations1999: 34 citations2000: 35 citations2001: 44 citations2002: 60 citations2003: 64 citations2004: 57 citations2005: 56 citations2006: 58 citations2007: 53 citations2008: 55 citations2009: 45 citations2010: 68 citations2011: 76 citations2012: 82 citations2013: 66 citations2014: 48 citations2015: 37 citations2016: 28 citations2017: 43 citations2018: 32 citations2019: 51 citations2020: 55 citations2021: 47 citations2022: 33 citations2023: 22 citations2024: 33 citations2025: 18 citations2026: 8 citations1931–1991: no citations, so these years are not shown

Citation sources

Countries

World map of the countries and regions citing this authorUnited States: 465 citing papers, 30.8% of this breakdownUnited Kingdom: 177 citing papers, 11.7% of this breakdownChina: 90 citing papers, 6% of this breakdownAustralia: 64 citing papers, 4.2% of this breakdownCanada: 57 citing papers, 3.8% of this breakdownGermany: 47 citing papers, 3.1% of this breakdownFrance: 45 citing papers, 3% of this breakdownBelgium: 40 citing papers, 2.7% of this breakdownHong Kong: 38 citing papers, 2.5% of this breakdownNetherlands: 34 citing papers, 2.3% of this breakdownItaly: 30 citing papers, 2% of this breakdownSwitzerland: 26 citing papers, 1.7% of this breakdown
0%30.8%Other 26.2%

Fields

  • Economics, Econometrics and Finance76.4%
  • Business, Management and Accounting9.5%
  • Computer Science6%
  • Decision Sciences5.1%
  • Social Sciences1%
  • Engineering0.5%
  • Other1.5%

Topics

  • Financial Markets and Investment Strategies13%
  • Market Dynamics and Volatility12%
  • Monetary Policy and Economic Impact10.9%
  • Financial Risk and Volatility Modeling7.8%
  • Complex Systems and Time Series Analysis5.3%
  • Corporate Finance and Governance4.9%
  • Other46.1%

Coauthors

All papers

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  1. The VIX, the variance premium and stock market volatility

    Authors: , - Journal of Econometrics 2014 cited by 803

  2. International Asset Allocation With Regime Shifts

    Authors: , - Review of Financial Studies 2002 cited by 1,767

  3. Emerging markets finance

    Authors: , - Journal of Empirical Finance 2003 cited by 703

  4. Flights to Safety

    Authors: , , , - Review of Financial Studies 2019 cited by 304

  5. Regime Switches in Interest Rates

    Authors: , - Journal of Business and Economic Statistics 2002 cited by 866

  6. The Global Crisis and Equity Market Contagion

    Authors: , , , - The Journal of Finance 2014 cited by 699

  7. How Regimes Affect Asset Allocation

    Authors: , - Financial Analysts Journal 2004 cited by 216

  8. Risk, uncertainty and monetary policy

    Authors: , , - Journal of Monetary Economics 2013 cited by 1,221

  9. Global Growth Opportunities and Market Integration

    Authors: , , , - The Journal of Finance 2007 cited by 365

  10. Emerging equity market volatility

    Authors: , - Journal of Financial Economics 1997 cited by 1,722

  11. Risk, uncertainty, and asset prices

    Authors: , , - Journal of Financial Economics 2008 cited by 395

  12. Time‐Varying World Market Integration

    Authors: , - The Journal of Finance 1995 cited by 2,145

  13. Stock Return Predictability: Is It There?

    Authors: , - Review of Financial Studies 2001 cited by 1,385

  14. Liquidity and Expected Returns: Lessons from Emerging Markets

    Authors: , , - Review of Financial Studies 2003 cited by 1,097

  15. Do Macro Variables, Asset Markets, or Surveys Forecast Inflation Better?

    Authors: , , - Finance and Economics Discussion Series 2006 cited by 831

  16. Equity Market Liberalization in Emerging Markets

    Authors: , , - The Journal of Financial Research 2003 cited by 262

  17. Aggregate Idiosyncratic Volatility

    Authors: , , - Journal of Financial and Quantitative Analysis 2012 cited by 211

  18. Currency Factors

    Authors: , - Management Science, Manag. Sci. 2017 cited by 41

  19. Does Financial Liberalization Spur Growth?

    Authors: , , - Journal of Financial Economics 2001 cited by 2,047

  20. Foreign Speculators and Emerging Equity Markets

    Authors: , - The Journal of Finance 2000 cited by 1,939

  21. Market Integration and Contagion

    Authors: , , - The Journal of Business 2005 cited by 1,050

  22. Market Integration and Investment Barriers in Emerging Equity Markets

    Authors: - The World Bank Economic Review 1995 cited by 619

  23. Time-Varying World Market Integration

    Authors: , - The Journal of Finance 1994 cited by 608

  24. Dating the integration of world equity markets

    Authors: , , - Journal of Financial Economics 2002 cited by 581