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                             37 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 Are cross-border acquisitions enemy of labor? An examination of employment and productivity effects Oldford, Erin
2016
PB p. 438-455
18 p.
artikel
2 Asymmetric risk and return: Evidence from the Australian Stock Exchange Vo, Minh
2015
PB p. 558-573
16 p.
artikel
3 Catering to behavioral demand for dividends and its potential agency issue Jun, Xiao
2017
PB p. 269-291
23 p.
artikel
4 Cojumps in China's spot and stock index futures markets Wang, Hao
2015
PB p. 541-557
17 p.
artikel
5 Corporate governance, product market competition and managerial incentives: Evidence from four Pacific Basin countries Ko, Hin-cheung Annie
2016
PB p. 491-502
12 p.
artikel
6 Detecting the great short squeeze on Volkswagen Godfrey, Keith R.L.
2016
PB p. 323-334
12 p.
artikel
7 Dividend drop-off estimates of the value of dividend imputation tax credits Cannavan, Damien
2017
PB p. 213-226
14 p.
artikel
8 Do CEOs who trade shares adopt more aggressive corporate investment strategies? Bradrania, Reza
2016
PB p. 349-366
18 p.
artikel
9 Do credit rating concerns lead to better corporate governance? Evidence from Korea Bereskin, Frederick L.
2015
PB p. 592-608
17 p.
artikel
10 Do mutual funds exploit the accrual anomaly?: Korean evidence Kim, Young Jun
2017
PB p. 227-242
16 p.
artikel
11 Editorial Board 2016
PB p. IFC-
1 p.
artikel
12 Editorial Board 2017
PB p. IFC-
1 p.
artikel
13 Editorial Board 2015
PB p. IFC-
1 p.
artikel
14 Ethical image, corporate social responsibility, and R&D valuation Ho, Simon S.M.
2016
PB p. 335-348
14 p.
artikel
15 Exchange rate dynamics and stock prices in small open economies: Evidence from Asia-Pacific countries Yang, Sheng-Ping
2017
PB p. 337-354
18 p.
artikel
16 Global risk exposures and industry diversification with Shariah-compliant equity sectors Balcılar, Mehmet
2015
PB p. 499-520
22 p.
artikel
17 Google search intensity and its relationship to the returns and liquidity of Japanese startup stocks Adachi, Yuta
2017
PB p. 243-257
15 p.
artikel
18 Governance mechanisms and downside risk Wang, Li-Hsun
2015
PB p. 485-498
14 p.
artikel
19 Injecting liquidity into liquidity research Benson, Karen
2015
PB p. 533-540
8 p.
artikel
20 Institutional investors in Australia: Do they play a homogenous monitoring role? Muniandy, Puspa
2016
PB p. 266-288
23 p.
artikel
21 Is diversification always optimal? Humphrey, Jacquelyn E.
2015
PB p. 521-532
12 p.
artikel
22 Melancholia and Japanese stock returns – 2003 to 2012 Khuu, Joyce
2016
PB p. 424-437
14 p.
artikel
23 Modeling default prediction with earnings management Lin, Hsiou-Wei William
2016
PB p. 306-322
17 p.
artikel
24 Order aggressiveness of different broker-types in response to monetary policy news Smales, Lee A.
2016
PB p. 367-383
17 p.
artikel
25 Partial-control versus full-control acquisitions: Does target corporate governance matter? Evidence from eight East and Southeast Asian countries Dang, Man
2016
PB p. 251-265
15 p.
artikel
26 Pinning down an effective measure for probability of informed trading Petchey, James
2016
PB p. 456-475
20 p.
artikel
27 Product market competition, type of mergers, and post-merger performance in Taiwan Liu, Yong-Chin
2017
PB p. 292-308
17 p.
artikel
28 Real earnings management in family firms: Evidence from an emerging economy Razzaque, Rushdi Md. Rezaur
2016
PB p. 237-250
14 p.
artikel
29 Remuneration committee effectiveness and narrative remuneration disclosure Kanapathippillai, Sutharson
2016
PB p. 384-402
19 p.
artikel
30 Secrecy and the impact of mandatory IFRS adoption on earnings quality in Europe Houqe, Muhammad Nurul
2016
PB p. 476-490
15 p.
artikel
31 Sharia compliance status & investor demand for IPOs: Evidence from Saudi Arabia Alqahtani, Faisal
2017
PB p. 258-268
11 p.
artikel
32 The high-volume return premium: Does it exist in the Chinese stock market? Wang, Peipei
2017
PB p. 323-336
14 p.
artikel
33 The interaction between security lending market and security trading market Wang, Tiandu
2017
PB p. 309-322
14 p.
artikel
34 The role of loan portfolio losses and bank capital for Asian financial system resilience Rösch, Daniel
2016
PB p. 289-305
17 p.
artikel
35 Trend salience, investor behaviours and momentum profitability Hurst, Gareth
2015
PB p. 471-484
14 p.
artikel
36 Uncertainty and new apartment price setting: A real options approach Shi, Song
2015
PB p. 574-591
18 p.
artikel
37 Which matters: “Paying to play” or stable business relationship? Evidence on analyst recommendation and mutual fund commission fee payment Huang, Haozhi
2016
PB p. 403-423
21 p.
artikel
                             37 gevonden resultaten
 
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