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                             93 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 A behavioural explanation to the asymmetric volatility phenomenon: Evidence from market volatility index Pati, Pratap Chandra
2017
C p. 66-81
16 p.
artikel
2 A comparison of buy-side and sell-side analysts Hobbs, Jeffrey
2015
C p. 42-51
10 p.
artikel
3 Activist hedge funds and firm disclosure Chen, Jing
2016
C p. 52-63
12 p.
artikel
4 Additional evidence on transparency and bank financial performance Akhigbe, Aigbe
2017
C p. 1-6
6 p.
artikel
5 A fresh look at integration of risks in the international stock markets: A wavelet approach Marfatia, Hardik A.
2017
C p. 33-49
17 p.
artikel
6 An empirical application of the EVA® framework to business cycles Cachanosky, Nicolás
2016
C p. 60-67
8 p.
artikel
7 An integrated macro-financial risk-based approach to the stressed capital requirement Liu, Xiaochun
2017
C p. 86-98
13 p.
artikel
8 An inverted U-shaped crude oil price return-implied volatility relationship Agbeyegbe, Terence D.
2015
C p. 28-45
18 p.
artikel
9 Are equities good inflation hedges? A frequency domain perspective Ciner, Cetin
2015
C p. 12-17
6 p.
artikel
10 Are Smart Beta strategies suitable for hedge fund portfolios? Hitaj, Asmerilda
2016
C p. 37-51
15 p.
artikel
11 Bank capital and portfolio risk among Islamic banks Basher, Syed Abul
2017
C p. 1-9
9 p.
artikel
12 Banking efficiency in Gulf Cooperation Council (GCC) countries: A comparative study Mohanty, Sunil K.
2016
C p. 99-107
9 p.
artikel
13 Bank leverage and profitability: Evidence from a sample of international banks Beltratti, Andrea
2015
C p. 46-57
12 p.
artikel
14 Bank levy and bank risk-taking Diemer, Michael
2017
C p. 10-32
23 p.
artikel
15 Bank profits, loan activity, and monetary policy: evidence from the FDIC's Historical Statistics on Banking Orzechowski, Paul E.
2017
C p. 55-63
9 p.
artikel
16 Bank secrecy in offshore centres and capital flows: Does blacklisting matter? Balakina, Olga
2017
C p. 30-57
28 p.
artikel
17 Board independence and corporate investments Lu, Jun
2015
C p. 52-64
13 p.
artikel
18 Call for papers for a special issue on Behavioral Finance 2017
C p. I-
1 p.
artikel
19 Can hedge funds time global equity markets? Evidence from emerging markets Aiken, Adam L.
2016
C p. 2-11
10 p.
artikel
20 Can stochastic discount factor models explain the cross-section of equity returns? Abhakorn, Pongrapeeporn
2016
C p. 56-68
13 p.
artikel
21 CEO inside debt and bank loan syndicate structure Chen, Liqiang
2017
C p. 74-85
12 p.
artikel
22 Characteristics of mutual funds with extreme performance Berkowitz, Jason P.
2017
C p. 50-60
11 p.
artikel
23 Conditional interest rate risk and the cross-section of excess stock returns Atanasov, Victoria
2016
C p. 23-32
10 p.
artikel
24 Corporate investment and stock liquidity: Evidence on the price impact of trade Kang, Moonsoo
2017
C p. 1-11
11 p.
artikel
25 Customers' perceptions on the dispute resolution clauses in Islamic finance contracts in Malaysia Oseni, Umar A.
2016
C p. 89-98
10 p.
artikel
26 Differential effect of liquidity constraints on firm growth Quader, Syed Manzur
2017
C p. 20-29
10 p.
artikel
27 Do Islamic stock indices perform better than conventional counterparts? An empirical investigation of sectoral efficiency Alam, Nafis
2016
C p. 108-114
7 p.
artikel
28 Dynamic correlations and volatility linkages between stocks and sukuk: Evidence from international markets Sclip, Alex
2016
C p. 34-44
11 p.
artikel
29 Economics as energy framework: Complexity, turbulence, financial crises, and protectionism Rutledge, John
2015
C p. 10-18
9 p.
artikel
30 Editorial Kabir Hassan, M.
2016
C p. 1-2
2 p.
artikel
31 Editorial Board 2017
C p. IFC-
1 p.
artikel
32 Editorial Board 2016
C p. IFC-
1 p.
artikel
33 Editorial Board 2017
C p. IFC-
1 p.
artikel
34 Editorial Board 2017
C p. IFC-
1 p.
artikel
35 Editorial Board 2017
C p. IFC-
1 p.
artikel
36 Editorial Board 2015
C p. IFC-
1 p.
artikel
37 Editorial Board 2015
C p. IFC-
1 p.
artikel
38 Editorial Board 2015
C p. IFC-
1 p.
artikel
39 Editorial Board 2016
C p. IFC-
1 p.
artikel
40 Editorial Board 2016
C p. IFC-
1 p.
artikel
41 Editorial Board 2016
C p. IFC-
1 p.
artikel
42 Editorial Board 2015
C p. IFC-
1 p.
artikel
43 Evolving dynamics of the relationship between US core inflation and unemployment Putnam, Bluford H.
2015
C p. 27-34
8 p.
artikel
44 Excess pay and deficient performance Carter, Mary Ellen
2016
C p. 1-10
10 p.
artikel
45 Financial constraints, board governance standards, and corporate cash holdings Lee, Choonsik
2016
C p. 21-34
14 p.
artikel
46 Foreign bias in Australia's international equity holdings Mishra, Anil V.
2017
C p. 41-54
14 p.
artikel
47 From pit to electronic trading: Impact on price volatility of U.S. Treasury futures Orlowski, Lucjan T.
2015
C p. 3-9
7 p.
artikel
48 High order smooth ambiguity preferences and asset prices Thimme, Julian
2015
C p. 1-15
15 p.
artikel
49 How much can lack of marketability affect private equity fund values? Buchner, Axel
2016
C p. 35-45
11 p.
artikel
50 Inside directors, risk aversion, and firm performance Upadhyay, Arun D.
2017
C p. 64-74
11 p.
artikel
51 International evidence on Islamic equity fund characteristics and performance persistence Makni, Rania
2016
C p. 75-82
8 p.
artikel
52 Internet, consumer spending, and credit card balance: Evidence from US consumers Basnet, Hem C.
2016
C p. 11-22
12 p.
artikel
53 Is a pure TIPS strategy truly risk free? Haensly, Paul J.
2016
C p. 1-20
20 p.
artikel
54 Is it costly to be both shariah compliant and socially responsible? Erragragui, Elias
2016
C p. 64-74
11 p.
artikel
55 Is momentum trading profitable from Shari'ah compliant stocks? Li, Bob
2016
C p. 56-63
8 p.
artikel
56 Is there a link between economic growth and insurance and banking sector activities in the G-20 countries? Pradhan, Rudra P.
2017
C p. 12-28
17 p.
artikel
57 Leading indicators of systemic banking crises: Finland in a panel of EU countries Lainà, Patrizio
2015
C p. 18-35
18 p.
artikel
58 Long memory or structural breaks: Some evidence for African stock markets Ngene, Geoffrey
2017
C p. 61-73
13 p.
artikel
59 Market conditions, governance and the information content of insider trades Bhabra, Harjeet S.
2015
C p. 1-11
11 p.
artikel
60 Market-timing the business cycle Peláez, Rolando F.
2015
C p. 55-64
10 p.
artikel
61 Modeling fund and portfolio risk: A bi-modal approach to analyzing risk in turbulent markets Karagiannidis, Iordanis
2015
C p. 19-26
8 p.
artikel
62 Oil price shocks and volatility spillovers in the Nigerian sovereign bond market Tule, Moses K.
2017
C p. 57-65
9 p.
artikel
63 On the interaction between momentum effect and size effect Alhenawi, Yasser
2015
C p. 36-46
11 p.
artikel
64 Optimal default and liquidation with tangible assets and debt renegotiation Goto, Makoto
2015
C p. 16-27
12 p.
artikel
65 Out-of-sample evaluation of macro announcements, linearity, long memory, heterogeneity and jumps in mini-futures markets Vortelinos, Dimitrios I.
2015
C p. 58-67
10 p.
artikel
66 Persistence of announcement effects on the intraday volatility of stock returns: Evidence from individual data Uctum, Remzi
2017
C p. 43-56
14 p.
artikel
67 Preface to Review of Financial Economics special issue on hedge funds Jordan, Bradford D.
2016
C p. 1-
1 p.
artikel
68 Preface to the Special Issue on “Changing Dynamics in Financial Economics” Putnam, Bluford H.
2015
C p. 1-2
2 p.
artikel
69 Religion in the boardroom and its impact on Islamic banks' performance Ali, Mohsin
2016
C p. 83-88
6 p.
artikel
70 Repayment behavior in peer-to-peer microfinancing: Empirical evidence from Kiva Dorfleitner, Gregor
2016
C p. 45-59
15 p.
artikel
71 Reversal of 3-day losers and continuation of 3-day winners on the NASDAQ Gutierrez, Jose
2016
C p. 68-73
6 p.
artikel
72 Should I stay, or should I go? – How fund dynamics influence venture capital exit decisions Bock, Carolin
2015
C p. 68-82
15 p.
artikel
73 Size is everything: Explaining SIFI designations Irresberger, Felix
2017
C p. 7-19
13 p.
artikel
74 Split ratings and debt-signaling in bond markets: A note Ismail, Ashraf
2015
C p. 36-41
6 p.
artikel
75 Synthetic hedge funds Fischer, Mario
2016
C p. 12-22
11 p.
artikel
76 Taming polysemous signals: The role of marketing intensity on the relationship between financial leverage and firm performance Bae, John
2017
C p. 29-40
12 p.
artikel
77 The composite risk-sharing finance index: Implications for Islamic finance Akin, Tarik
2016
C p. 18-25
8 p.
artikel
78 The conundrum of profitability versus soundness for banks by ownership type: Evidence from the Indian banking sector Banerjee, Sreejata
2015
C p. 12-24
13 p.
artikel
79 The effect of volatility persistence on excess returns Jain, Ajeet
2017
C p. 58-63
6 p.
artikel
80 The incremental information content of innovations in implied idiosyncratic volatility Moll, Cliff R.
2016
C p. 33-44
12 p.
artikel
81 The other capital infusion program: The case of the Small Business Lending Fund Balla, Eliana
2017
C p. 99-108
10 p.
artikel
82 The performance of female hedge fund managers Aggarwal, Rajesh
2016
C p. 23-36
14 p.
artikel
83 The role of institutional investors and individual investors in financial markets: Evidence from closed-end funds Huang, Emily J.
2015
C p. 1-11
11 p.
artikel
84 The wages of social responsibility — where are they? A critical review of ESG investing Halbritter, Gerhard
2015
C p. 25-35
11 p.
artikel
85 Time series analysis of financial stability of banks: Evidence from Saudi Arabia Ghassan, Hassan B.
2016
C p. 3-17
15 p.
artikel
86 Tracing dynamic linkages and spillover effect between Pakistani and leading foreign stock markets Ghouse, Ghulam
2017
C p. 29-42
14 p.
artikel
87 Tracking exchange rate management in Latin America Carrera, César
2015
C p. 35-41
7 p.
artikel
88 Trading behavior in S&P 500 index futures Smales, Lee A.
2016
C p. 46-55
10 p.
artikel
89 Trend in aggregate idiosyncratic volatility Nam, Kiseok
2017
C p. 11-28
18 p.
artikel
90 Volatility measures as predictors of extreme returns Switzer, Lorne N.
2017
C p. 1-10
10 p.
artikel
91 Who issues Sukuk and when?: An analysis of the determinants of Islamic bond issuance Nagano, Mamoru
2016
C p. 45-55
11 p.
artikel
92 Why do companies issue sukuk? Klein, Paul-Olivier
2016
C p. 26-33
8 p.
artikel
93 Zero lower bound, unconventional monetary policy and indicator properties of interest rate spreads Hännikäinen, Jari
2015
C p. 47-54
8 p.
artikel
                             93 gevonden resultaten
 
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