Digitale Bibliotheek
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                             227 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 Acquisition activity of large depository institutions in the 1990s: Ely, David P
2000
4 p. 467-484
18 p.
artikel
2 Acquisition of physician group practices by for-profit and not-for-profit organizations Burns, Lawton R
1999
4 p. 465-490
26 p.
artikel
3 Active risk management and loan contract terms: Evidence from rated microfinance institutions Tchakoute-Tchuigoua, Hubert
2012
4 p. 427-437
11 p.
artikel
4 Adverse selection and reputation in a world of cheap talk Depken II, Craig A.
2010
4 p. 548-558
11 p.
artikel
5 Aggregate risk, credit rationing and capital accumulation Elosegui, Pedro Luis
2003
4 p. 668-696
29 p.
artikel
6 Aggressive dealer pricing Locke, Peter R.
2004
4 p. 559-573
15 p.
artikel
7 A model of selective tendering: Does bidding competition deter opportunism by contractors? Kim, In-Gyu
1998
4 p. 907-925
19 p.
artikel
8 A multivariate GARCH in mean approach to testing uncovered interest parity: evidence from Asia-Pacific foreign exchange markets Tai, Chu-Sheng
2001
4 p. 441-460
20 p.
artikel
9 An analysis of stock market transactions data McCullough, B.D.
1997
4 p. 887-903
17 p.
artikel
10 An assessment of another decade of capital controls in Colombia: 1998–2008 Concha, Alvaro
2011
4 p. 319-338
20 p.
artikel
11 An empirical study of the corporate choice among common stock, convertible bonds and straight debt: A cash flow interpretation Lee, Hei-Wai
1995
4 p. 397-419
23 p.
artikel
12 A neural network approach for credit risk evaluation Angelini, Eliana
2008
4 p. 733-755
23 p.
artikel
13 An exploratory study of FDA new drug review times, prescription drug user fee acts, and R&D spending Vernon, John A.
2009
4 p. 1260-1274
15 p.
artikel
14 A note on budget deficits, debt service payments, and interest rates Cebula, Richard J.
1993
4 p. 439-445
7 p.
artikel
15 A note on “further sufficient conditions for an inverse relationship between productivity and employment” Firoozi, Fathali
1999
4 p. 573-574
2 p.
artikel
16 A note resolving the debate on “The weighted average cost of capital is not quite right” Keef, Stephen P.
2012
4 p. 438-442
5 p.
artikel
17 A possible adverse effect of needing to issue new equity in the future Murphy, Austin
1998
4 p. 899-906
8 p.
artikel
18 Are “bounced check loans” really loans? Theory, evidence and policy Fusaro, Marc Anthony
2010
4 p. 492-500
9 p.
artikel
19 A reexamination of the market efficiency hypothesis: Evidence from an electronic intra-day, inter-dealer FX market Lo, Melody
2006
4 p. 565-585
21 p.
artikel
20 Articles published 1998 by issue 1998
4 p. 932-934
3 p.
artikel
21 A sectoral analysis of the financial instability hypothesis Mulligan, Robert F.
2013
4 p. 450-459
10 p.
artikel
22 A spatial dominance approach to evaluate the performance of stocks and bonds: Does the investment horizon matter? Ibarra, Raul
2013
4 p. 429-439
11 p.
artikel
23 Assessing output and productivity growth in the banking industry Athanasoglou, Panayiotis P.
2009
4 p. 1317-1340
24 p.
artikel
24 Asset sales and takeover threats MacKinnon, Greg
2002
4 p. 765-777
13 p.
artikel
25 Asymmetric convergence in US financial credit default swap sector index markets Chen, Li-Hsueh
2011
4 p. 408-418
11 p.
artikel
26 Asymmetric information and term lending in the Euro money market: Evidence from the beginning of the turmoil Marzo, Massimiliano
2014
4 p. 487-499
13 p.
artikel
27 Author index 1998
4 p. 929-931
3 p.
artikel
28 Autocorrelation of the trade process: Evidence from the Helsinki Stock Exchange Ben Sita, Bernard
2010
4 p. 538-547
10 p.
artikel
29 Bank forbearance: A market-based explanation Schellhorn, Carolin D
2000
4 p. 451-466
16 p.
artikel
30 Banking regulation, institutional framework and capital structure: International evidence from industry data Utrero-González, Natalia
2007
4 p. 481-506
26 p.
artikel
31 Barriers to skill acquisition in Brazil: Public and private school students performance in a public university entrance exam Cavalcanti, Tiago
2010
4 p. 395-407
13 p.
artikel
32 Benefit sharing: An incentive mechanism for social control of government expenditure Bugarin, Mauricio
2008
4 p. 673-690
18 p.
artikel
33 Business cycle asymmetry and the stock market Domian, Dale L.
1995
4 p. 451-466
16 p.
artikel
34 Can mutual funds time risk factors? Benos, Evangelos
2010
4 p. 509-514
6 p.
artikel
35 Carbon Financial Instruments, thin trading, and volatility: Evidence from the Chicago Climate Exchange Sabbaghi, Omid
2011
4 p. 399-407
9 p.
artikel
36 Cause and effect of mini-tender offers Gleason, Kim
2007
4 p. 521-534
14 p.
artikel
37 CEO compensation structure following succession: Evidence of optimal incentives with career concerns Elsaid, Eahab
2009
4 p. 1389-1409
21 p.
artikel
38 Characteristics of firms that issue convertible debt versus convertible preferred stock Lee, Hei Wai
1999
4 p. 547-563
17 p.
artikel
39 Chinese Lunar New Year effect in Asian stock markets, 1999–2012 Yuan, Tian
2014
4 p. 529-537
9 p.
artikel
40 Combination schemes for turning point predictions Billio, Monica
2012
4 p. 402-412
11 p.
artikel
41 Comment: further sufficient conditions for an inverse relationship between productivity and employment Chow, Kong Wing
1999
4 p. 565-571
7 p.
artikel
42 Comment on “The weighted average cost of capital is not quite right” Bade, Benjamin
2009
4 p. 1476-1480
5 p.
artikel
43 Commercial property prices and bank performance Davis, E. Philip
2009
4 p. 1341-1359
19 p.
artikel
44 Co-movement of oil and stock prices in the GCC region: A wavelet analysis Akoum, Ibrahim
2012
4 p. 385-394
10 p.
artikel
45 Conditional heteroskedasticity adjusted market model and an event study Corhay, A.
1996
4 p. 529-538
10 p.
artikel
46 Conservation-Native American style Anderson, Terry L.
1997
4 p. 769-785
17 p.
artikel
47 Consumer expectations and cyclical durations Abderrezak, Ali
1997
4 p. 843-857
15 p.
artikel
48 Contents—volume 33 1993
4 p. 449-453
5 p.
artikel
49 Contents—volume 34 1994
4 p. 415-420
6 p.
artikel
50 Corruption, credit market imperfections, and economic development Antunes, António R
2003
4 p. 627-642
16 p.
artikel
51 Costs of short-term credit for small and large firms Walker, David A.
2010
4 p. 485-491
7 p.
artikel
52 Cournot duopoly and insider trading with two insiders Daher, Wassim
2006
4 p. 530-551
22 p.
artikel
53 Credit rationing and macroeconomic adjustment in Latin America Rockerbie, Duane W.
1993
4 p. 325-342
18 p.
artikel
54 Cross-country evidence on deposit-insurance Demirgüç-Kunt, Aslı
2002
4 p. 695-699
5 p.
artikel
55 Currency movements within and outside a currency union: The case of Germany and the euro area Bartzsch, Nikolaus
2013
4 p. 393-401
9 p.
artikel
56 Day-of-the-week effects in commercial paper yield rates Nippani, Srinivas
2004
4 p. 508-520
13 p.
artikel
57 Debt relief and institutional reform: a focus on Heavily Indebted Poor Countries Asiedu, Elizabeth
2003
4 p. 614-626
13 p.
artikel
58 Demographics, dividend clienteles and the dividend premium Lee, King Fuei
2011
4 p. 368-375
8 p.
artikel
59 Deposit insurance and banking system risk: Some empirical evidence Shiers, Alden F.
1994
4 p. 347-361
15 p.
artikel
60 Deposit insurance as private club: is Germany a model? Beck, Thorsten
2002
4 p. 701-719
19 p.
artikel
61 Determinants of corporate hedging: A (statistical) meta-analysis Arnold, Matthias M.
2014
4 p. 443-458
16 p.
artikel
62 Determinants of the method of payment in mergers and acquisitions Ismail, Ahmad
2010
4 p. 471-484
14 p.
artikel
63 Differences in education and earnings across ethnic groups in Guatemala Patrinos, Harry Anthony
1997
4 p. 809-821
13 p.
artikel
64 Diversification of risk and saving Wilson, Bonnie
2003
4 p. 697-712
16 p.
artikel
65 Does faith move stock markets? Evidence from Saudi Arabia Canepa, Alessandra
2014
4 p. 538-550
13 p.
artikel
66 Does long-run real interest parity hold among EU countries? Some new panel data evidence Holmes, Mark J
2002
4 p. 733-746
14 p.
artikel
67 Do investments in intangible customer assets affect firm value? Golec, Joseph
2014
4 p. 513-520
8 p.
artikel
68 Do investor relations make a difference? Farraghe, Edward J.
1994
4 p. 403-412
10 p.
artikel
69 Do U.S. macroeconomic surprises influence equity returns? An exploratory analysis of developed economies Singh, Manohar
2013
4 p. 476-485
10 p.
artikel
70 Dynamic interactions between Main Street and Wall Street Laopodis, Nikiforos T
2002
4 p. 803-815
13 p.
artikel
71 Dynamic linkages and the propagation mechanism driving major international stock markets: An analysis of the pre- and post-crash eras Masih, Abul M.M.
1997
4 p. 859-885
27 p.
artikel
72 Dynamic relationship between stock prices and exchange rates for G-7 countries Nieh, Chien-Chung
2001
4 p. 477-490
14 p.
artikel
73 Earnings inequality narrows for young workers despite a widening wage structure Ragan Jr., James F.
1995
4 p. 387-395
9 p.
artikel
74 Economics, economists, and public policy☆ Woodbury, Stephen A.
2000
4 p. 417-430
14 p.
artikel
75 Editorial Board 2009
4 p. iii-
1 p.
artikel
76 Editorial Board 2014
4 p. iii-
1 p.
artikel
77 Editorial Board 2004
4 p. iii-
1 p.
artikel
78 Editorial Board 2010
4 p. iii-
1 p.
artikel
79 Editorial Board 2008
4 p. iii-
1 p.
artikel
80 Editorial Board 2006
4 p. iii-
1 p.
artikel
81 Editorial Board 2007
4 p. iii-
1 p.
artikel
82 Editorial Board 2011
4 p. iii-
1 p.
artikel
83 Editorial Board 2013
4 p. iii-
1 p.
artikel
84 Editorial Page 2012
4 p. iii-
1 p.
artikel
85 Editorial pg 2003
4 p. iii-
1 p.
artikel
86 Editorial pg 2002
4 p. iii-
1 p.
artikel
87 Effects of managed care market penetration on physicians’ labor supply decisions Mitchell, Jean M
1999
4 p. 491-511
21 p.
artikel
88 Efficient growth boundaries in the presence of population externalities and stochastic rents Jou, Jyh-Bang
2012
4 p. 349-357
9 p.
artikel
89 Efficient markets, fair bets, and profitability in NBA totals 1995–96 to 2001–02 Paul, Rodney J.
2004
4 p. 624-632
9 p.
artikel
90 Enforcement of nineteenth century banking contracts using a marriage rule Nair, Malavika
2011
4 p. 360-367
8 p.
artikel
91 Environmental policy implications of extreme variations in pollutant stock levels and socioeconomic costs Makropoulou, Vasiliki
2013
4 p. 417-428
12 p.
artikel
92 Estimating banking cost efficiency with the consideration of cost management Shen, Chung-Hua
2010
4 p. 424-435
12 p.
artikel
93 Estimating the demand for money in Canada: Does including an own rate of return matter? Georgopoulos, George J.
2006
4 p. 513-529
17 p.
artikel
94 Evidence on the financial characteristics of banks that do and do not use derivatives Sinkey Jr., Joseph F
2000
4 p. 431-449
19 p.
artikel
95 Exogenous cash: testing financing constraints on inventory investment using dynamic panels with additional information from annual reports Wang, Hung-Jen
2002
4 p. 779-802
24 p.
artikel
96 Exploring the real interest rate puzzle Brewer III, Elijah
1994
4 p. 363-373
11 p.
artikel
97 Fading attraction: Turkey's shifting relationship with the European Union Salehi Esfahani, Hadi
2013
4 p. 364-379
16 p.
artikel
98 Federal grants and the flight to the suburbs 1 1 An example of what we have in mind is the “liveability” agenda pursued by Vice-President Al Gore. Temimi, Akram
2001
4 p. 533-543
11 p.
artikel
99 Firm entry, product repositioning and welfare Zacharias, Eleftherios
2009
4 p. 1225-1235
11 p.
artikel
100 Foreign direct investment and its determinants: A regional panel causality analysis Chan, M.W. Luke
2014
4 p. 579-589
11 p.
artikel
101 Greece in the Eurozone: Lessons from a decade of experience Oltheten, Elisabeth
2013
4 p. 317-335
19 p.
artikel
102 Growth, deficits and uncertainty: Theoretical aspects and empirical evidence from a panel of 27 countries Goulas, Eleftherios
2013
4 p. 380-392
13 p.
artikel
103 Growth, development and natural resources: New evidence using a heterogeneous panel analysis Cavalcanti, Tiago V. de V.
2011
4 p. 305-318
14 p.
artikel
104 Growth equations: a quantile regression exploration Mello, Marcelo
2003
4 p. 643-667
25 p.
artikel
105 Hedging with the Nikkei index futures: The convential model versus the error correction model Chou, W.L.
1996
4 p. 495-505
11 p.
artikel
106 Heterogeneous expectations and stock prices in segmented markets: application to Chinese firms Li, Lianfa
2004
4 p. 521-538
18 p.
artikel
107 Heterogeneous relationship between IPO return and risk across idiosyncratic variance characteristics Beneda, Nancy
2009
4 p. 1298-1316
19 p.
artikel
108 Household demand for financial assets: A life-cycle analysis Tin, Jan
1998
4 p. 875-897
23 p.
artikel
109 How well do U.S. consumers predict the direction of change in interest rates? Baghestani, Hamid
2008
4 p. 725-732
8 p.
artikel
110 Impact study on the interest rate futures market Choi, Hyunyoung
2006
4 p. 495-512
18 p.
artikel
111 Imperfect capital markets, income distribution and the choice of external finance: A financial equilibrium approach Bougheas, Spiros
2007
4 p. 507-520
14 p.
artikel
112 Implications of multiple structural changes in event studies Burnett, John E.
1995
4 p. 467-480
14 p.
artikel
113 Index 2000
4 p. 535-536
2 p.
artikel
114 Index 2000
4 p. 533-534
2 p.
artikel
115 Index 1996
4 p. 541-545
5 p.
artikel
116 Index 1999
4 p. 575-578
4 p.
artikel
117 Index 1997
4 p. 925-929
5 p.
artikel
118 Inflation and interest rate derivatives for FX risk management: Implications for exporting firms under real wealth Koziol, Philipp
2014
4 p. 459-472
14 p.
artikel
119 Information and trade sizes: The case of short sales Blau, Benjamin M.
2009
4 p. 1371-1388
18 p.
artikel
120 Information asymmetry and monitoring in equity private placements Liang, Hsiao-Chen
2013
4 p. 460-475
16 p.
artikel
121 Insider trading: Regulation, securities markets, and welfare under risk aversion Estrada, Javier
1995
4 p. 421-449
29 p.
artikel
122 Institutional impact and quote behavior implications of the options penny pilot project Saraoglu, Hakan
2014
4 p. 473-486
14 p.
artikel
123 Institutional investors, antitakeover defenses and success of hostile takeover bids Duggal, Rakesh
1994
4 p. 387-402
16 p.
artikel
124 International evidence on the value of deposit insurance Laeven, Luc
2002
4 p. 721-732
12 p.
artikel
125 International linkages between short-term real interest rates Fujihara, Roger A
1996
4 p. 451-473
23 p.
artikel
126 Introduction to capital accumulation and allocation in economic growth Villamil, Anne P.
2003
4 p. 583-591
9 p.
artikel
127 Investigating the effectiveness of convertible bonds in reducing agency costs: A Monte-Carlo approach Siddiqi, Mazhar A.
2009
4 p. 1360-1370
11 p.
artikel
128 Is intrajurisdictional resource allocation equitable? Ajwad, Mohamed Ihsan
2006
4 p. 552-564
13 p.
artikel
129 Is there a difference in performance by the legal status of microfinance institutions? Tchakoute-Tchuigoua, Hubert
2010
4 p. 436-442
7 p.
artikel
130 Is the secondary loan market valuable to borrowers? Santos, João A.C.
2009
4 p. 1410-1428
19 p.
artikel
131 Learning and mean reversion in asset returns Cassano, Mark A
1999
4 p. 529-545
17 p.
artikel
132 Long-term industry performance following IPOs Akhigbe, Aigbe
2006
4 p. 638-651
14 p.
artikel
133 Market power among physicians in the U.S., 1983–1991 Seldon, Barry J.
1998
4 p. 799-824
26 p.
artikel
134 Market response to FDA announcements Sarkar, Salil K.
2006
4 p. 586-597
12 p.
artikel
135 Mean and volatility linkages for closed-end country funds Tsai, Pei-Jung
2007
4 p. 550-575
26 p.
artikel
136 Measuring and valuing intangible capital in the wireless communications industry Klock, Mark
2000
4 p. 519-532
14 p.
artikel
137 Measuring technical and scale inefficiencies in the beer industry: Nonparametric and parametric evidence Elyasiani, Elyas
1993
4 p. 383-408
26 p.
artikel
138 Modeling fiscal federalism: a decomposition analysis of changes in intra-European Union budgetary transfers Deltas, George
2003
4 p. 592-613
22 p.
artikel
139 Modelling the U.S. interest rate in terms of I(d) statistical models Gil-Alana, Luis A.
2004
4 p. 475-486
12 p.
artikel
140 Motives and consequences of IPOs in cold periods Premti, Arjan
2013
4 p. 486-496
11 p.
artikel
141 Mutual fund flows and window-dressing Ling, Leng
2013
4 p. 440-449
10 p.
artikel
142 Necessity of negative serial correlation for mean-reversion of stock prices Choe, Kwang-Il
2007
4 p. 576-583
8 p.
artikel
143 Nonlinear effects of monetary policy on stock returns in a smooth transition autoregressive model Hsu, Kuang-Chung
2011
4 p. 339-349
11 p.
artikel
144 On the design and efficiency of a participating growth bill Ebrahim, M.Shahid
1999
4 p. 513-527
15 p.
artikel
145 On the determinant of bank loan contracts: The roles of borrowers’ ownership and board structures Lin, Chih-Yung
2014
4 p. 500-512
13 p.
artikel
146 On the globalization of stock markets: An application of Vector Error Correction Model, Mutual Information and Singular Spectrum Analysis to the G7 countries Menezes, Rui
2012
4 p. 369-384
16 p.
artikel
147 Payout initiation by IPO firms: The choice between dividends and share repurchases Jain, Bharat A.
2009
4 p. 1275-1297
23 p.
artikel
148 Pensions, non-discrimination policies, and the employment of older workers Garen, John
1996
4 p. 417-429
13 p.
artikel
149 Permanent and transitory components of earnings, dividends, and stock prices Pan, Ming-Shiun
2007
4 p. 535-549
15 p.
artikel
150 Personal and regional redistribution through public finance in a federal setting Cont, Walter
2014
4 p. 563-578
16 p.
artikel
151 Physicians and the changing health care marketplace White, William D
1999
4 p. 439-444
6 p.
artikel
152 Population equilibrium in primitive societies Locay, Luis
1997
4 p. 747-767
21 p.
artikel
153 Predictability of future index returns based on the 52-week high strategy Malin, Mirela
2010
4 p. 501-508
8 p.
artikel
154 Predictability of stock returns and real output Marathe, Achla
1994
4 p. 317-331
15 p.
artikel
155 Preemptive bidding in takeover auctions with affiliated values Khoroshilov, Yuri
2012
4 p. 395-401
7 p.
artikel
156 Price and volume effects associated with changes in the Dow Jones Averages Polonchek, John
1994
4 p. 305-316
12 p.
artikel
157 Pricing-to-market in U.S. imports and exports: A time series and cross-sessional study Yang, Jiawen
1998
4 p. 843-861
19 p.
artikel
158 Pricing unexpected illiquidity Asem, Ebenezer
2009
4 p. 1485-1494
10 p.
artikel
159 Private debt, unused credit lines, and seasoned equity offerings Liu, Yang
2011
4 p. 376-388
13 p.
artikel
160 Random shocks in experimental spot and forward auction markets Phillips, Owen R
2001
4 p. 545-560
16 p.
artikel
161 Regression evidence of safety-net support in Canada and the U.S., 1893–1992 Kane, Edward J
2002
4 p. 649-671
23 p.
artikel
162 Regulatory barriers to entry in the healthcare industry: the case of alternative medicine Anderson, Gary M.
2000
4 p. 485-502
18 p.
artikel
163 Requiem for market discipline and the specter of TBTF in Japanese banking Pop, Adrian
2009
4 p. 1429-1459
31 p.
artikel
164 Risk aversion and business cycles: An empirical analysis Pardo, Cristian
2012
4 p. 413-426
14 p.
artikel
165 Risk-bearing arrangements and capital financing strategies for integrated health systems Conrad, Douglas A.
1999
4 p. 445-464
20 p.
artikel
166 Risk dominance and coordination failures in static games Straub, Paul G.
1995
4 p. 339-363
25 p.
artikel
167 Risk management of precious metals Hammoudeh, Shawkat
2011
4 p. 435-441
7 p.
artikel
168 Risk taking by Japanese bond investors: Testing the “reach for yields” hypothesis in the Japanese bond markets Nishioka, Shinichi
2008
4 p. 691-707
17 p.
artikel
169 Security markets and the information content of monetary policy turning points Jensen, Gerald R.
2006
4 p. 477-494
18 p.
artikel
170 Seniority, external labor markets, and faculty pay Brown, Byron W.
1998
4 p. 771-798
28 p.
artikel
171 Shareholder rights and the market reaction to Sarbanes-Oxley Choi, Seung Hee
2008
4 p. 756-771
16 p.
artikel
172 Should the government directly intervene in stock market during a crisis? Khan, Salman
2011
4 p. 350-359
10 p.
artikel
173 Smoking, self-selection and absenteeism Leigh, J.Paul
1995
4 p. 365-386
22 p.
artikel
174 Spatially blind trade and fiscal impact policies and their impact on regional economies Hewings, Geoffrey J.D.
2014
4 p. 590-602
13 p.
artikel
175 Special section: Native Americans: Then and now Chiswick, Barry R.
1997
4 p. 745-746
2 p.
artikel
176 Stock market bubble effects on mergers and acquisitions Aharon, David Y.
2010
4 p. 456-470
15 p.
artikel
177 Stock prices, firm size, and changes in the federal funds rate target Guo, Hui
2004
4 p. 487-507
21 p.
artikel
178 Stock returns following large 1-month declines and jumps: Evidence of overoptimism in the German market Ising, Jan
2006
4 p. 598-619
22 p.
artikel
179 Stranded costs, access charges, and Ramsey pricing in the U.S. electric utility industry Berry, S.Keith
2000
4 p. 503-517
15 p.
artikel
180 Supply shocks and the rationality of inflation forecasts Grant, Alan P
2001
4 p. 515-532
18 p.
artikel
181 Temporary layoffs in the U.S. unemployment insurance system: A comparison of two experience rating methods Cook, Zena
1997
4 p. 823-841
19 p.
artikel
182 Tests of the money-output relation using disaggregated data Shelley, Gary L.
1998
4 p. 863-873
11 p.
artikel
183 The advertising effect of university athletic success: A reappraisal of the evidence Bremmer, Dale S.
1993
4 p. 409-421
13 p.
artikel
184 The behavior of MENA oil and non-oil producing countries in international portfolio optimization Mansourfar, Gholamreza
2010
4 p. 415-423
9 p.
artikel
185 The debt crisis in Ireland Fitzgerald, Colm
2013
4 p. 353-363
11 p.
artikel
186 The debt crisis of Eurozone's peripheral economies: Moral hazard and its consequences Baer, Werner
2013
4 p. 315-316
2 p.
artikel
187 The determinants of earnings differentials for indigenous Americans: Human capital, location, or discrimination? Hurst, Michael
1997
4 p. 787-807
21 p.
artikel
188 The determinants of monetary target credibility Peter Ferderer, J.
1998
4 p. 825-841
17 p.
artikel
189 The determinants of the survival of realigned exchange rate arrangements in emerging economies Baek, In-Mee
2001
4 p. 461-475
15 p.
artikel
190 The economy of Portugal and the European Union: From high growth prospects to the debt crisis Baer, Werner
2013
4 p. 345-352
8 p.
artikel
191 The economy of Spain in the euro-zone before and after the crisis of 2008 Neal, Larry
2013
4 p. 336-344
9 p.
artikel
192 The effect of care quality on medical malpractice litigation Spurr, Stephen J.
2001
4 p. 491-513
23 p.
artikel
193 The effect of deposit insurance on financial depth: A cross-country analysis Cull, Robert
2002
4 p. 673-694
22 p.
artikel
194 The effect of macroeconomic news on German closed-end funds Ramchander, Sanjay
2008
4 p. 708-724
17 p.
artikel
195 The effect of mergers on firms’ costs: evidence from the HMO industry Engberg, John
2004
4 p. 574-600
27 p.
artikel
196 The effect of non-pecuniary motivations on labor supply Farzin, Y.H.
2009
4 p. 1236-1259
24 p.
artikel
197 The effect on stockholder wealth of product recalls and government action: The case of Toyota's accelerator pedal recall Gokhale, Jayendra
2014
4 p. 521-528
8 p.
artikel
198 The evidence from Canadian firms on multinational diversification and performance Mathur, Ike
2001
4 p. 561-578
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201 The impact of preemption of the Georgia Fair Lending Act by the OCC on national and state banks and the dual banking system Whalen, Gary W.
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202 The impact of the WARN Act on firm value Alexander Jr., John C.
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204 The long-run performance of initial public offerings: Stochastic dominance criteria Abhyankar, Abhay
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205 The market’s reaction to unexpected, catastrophic events: the case of airline stock returns and the September 11th attacks Carter, David A.
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206 The non-relevance of the elusive holy grail of asset pricing tests: The “true” market portfolio does not alter CAPM validity conclusions Low, Cheekiat
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208 The Phillips Curve: Evidence of a “lady or tiger dilemma” Samavati, Hedayeh
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209 The relationship between budget deficits and capital inflows: Further econometric evidence Murthy, N.R.Vasudeva
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210 The relative efficiency of interest-free monetary system: some empirical evidence Darrat, Ali F
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211 The role of convertible bonds in alleviating contracting costs Krishnaswami, Sudha
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212 The Stock market impact of social pressure: The South African divestment case Lytle, Laurian Casson
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214 “The weighted average cost of capital is not quite right”: A rejoinder Pierru, Axel
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215 Time series estimation of the bond default risk premium Clinebell, John M.
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220 Unemployment in Greece: Evidence from Greek regions using panel unit root tests Bakas, Dimitrios
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222 Value investing anomalies in the European stock market: Multiple Value, Consistent Earner, and Recognized Value Elze, Gregor
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224 Volatility estimation for stock index options: A GARCH approach Chu, Shin-Herng
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225 Wages, supervision and sharing Sessions, John G.
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226 Wavelet domain correlation between the futures prices of natural gas and oil Tonn, Victor Lux
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227 Yale and the monetary interpretation of the Great Depression Steindl, Frank G.
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                             227 gevonden resultaten
 
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