Professor Grzegorz Pawlina

Professor

Qualifications

BSc, MSc Warsaw (SGH); MSc, PhD Tilburg

Optimal exercise of jointly held real options: a Nash bargaining approach with value diversion
Banerjee, S., Gucbilmez, U., Pawlina, G. 1/12/2014 In: European Journal of Operational Research. 239, 2, p. 565–578. 14 p.
Journal article

IPO waves and hot markets in the UK
Banerjee, S., Gucbilmez, U., Pawlina, G. 30/12/2013 In: Handbook of research on IPOs. Cheltenham : Edward Elgar ISBN: 9781781955369.
Chapter

A theory of net debt and transferable human capital
Lambrecht, B., Pawlina, G. 01/2013 In: Review of Finance. 17, 1, p. 321-368. 48 p.
Journal article

Household liquidity and incremental financing decisions: theory and evidence
Cunha, M.R., Lambrecht, B.M., Pawlina, G. 09/2011 In: Journal of Business Finance and Accounting. 38, 7-8, p. 1016-1052. 37 p.
Journal article

Underinvestment, capital structure and strategic debt restructuring
Pawlina, G. 5/12/2010 In: Journal of Corporate Finance. 16, 5, p. 679-702. 24 p.
Journal article

Uncertainty and stepwise investment
Kort, P.M., Murto, P., Pawlina, G. 1/04/2010 In: European Journal of Operational Research. 202, 1, p. 196-203. 8 p.
Journal article

Strategic quality choice under uncertainty: a real options approach
Pawlina, G., Kort, P.M. 01/2010 In: Manchester School. 78, 1, p. 1-19. 19 p.
Journal article

Corporate finance and the (in)efficient exercise of real options
Lambrecht, B.M., Pawlina, G. 2010 In: Multinational Finance Journal. 14, 1/2, p. 129-156. 28 p.
Journal article

The Dutch housing market: trends, risks and outlook
Cunha, R.M., Lambrecht, B.M., Pawlina, G. 2008 In: Journal of Financial Transformation. 22, p. 18-22. 5 p.
Journal article

Real options in an asymmetric duopoly: who benefits from your competitive disadvantage?
Pawlina, G., Kort, P.M. 03/2006 In: Journal of Economics and Management Strategy. 15, 1, p. 1-35. 35 p.
Journal article

Is investment-cash flow sensitivity caused by agency costs or asymmetric information? Evidence from the UK
Pawlina, G., Renneboog, L.D.R. 09/2005 In: European Financial Management. 11, 4, p. 483-513. 31 p.
Journal article

Investment under uncertainty and policy change
Pawlina, G., Kort, P.M. 07/2005 In: Journal of Economic Dynamics and Control. 29, 7, p. 1193-1209. 17 p.
Journal article

Strategic investment under uncertainty: a survey of game theoretic real option models
Huisman, K.J.M., Kort, P.M., Pawlina, G., Thijssen, J.J.J. 2005 In: Journal of Financial Transformation. 13, p. 111-118. 8 p.
Journal article

Strategic investment under uncertainty: merging real options with game theory
Huisman, K.J.M., Kort, P.M., Pawlina, G., Thijssen, J.J.J. 2004 In: Zeitschrift für Betriebswirtschaft. 67, 3, p. 97-123. 27 p.
Journal article

Strategic capital budgeting: asset replacement under market uncertainty
Pawlina, G., Kort, P.M. 10/2003 In: OR Spectrum. 25, 4, p. 443-479. 37 p.
Journal article

Real options vs NPV: the role of uncertainty, competitive position and the option to abandon
Pawlina, G. 2003 In: Rynek Terminowy. 22, 4, p. 59-70. 12 p.
Journal article

Firm's value maximization and the quality choice in a dynamic duopoly model (in Polish)
Pawlina, G. 2002 In: Annals of the Collegium of Economic Analyses WSE. N/A : unknown p. 139-158. 20 p.
Chapter

Real options valuation of managerial flexibility in optimally structured M and A deals
Pawlina, G. 2002 In: M and A Review. 11, p. 568-575. 8 p.
Journal article

When a static NPV does not work: the value of waiting to invest
Pawlina, G. 2000 In: Faces. 4, p. 37-42. 6 p.
Journal article

An attempt to model the black labour market
Pawlina, G., Ruzik, A., Szapiro, T. 1996 In: Proceedings of the LVIth Applied Econometrics Association Conference (Goteborg) - 1996. N/A : unknown
Conference contribution