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                             74 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 Accounting for the Mexican banking crisis Desmet, Klaus
2000
2 p. 165-181
17 p.
artikel
2 An empirical analysis of the determinants of the P/E ratio in emerging markets Ramcharran, Harri
2002
2 p. 165-178
14 p.
artikel
3 An empirical analysis on the determinants of CEE government bond spreads Ebner, André
2009
2 p. 97-121
25 p.
artikel
4 Audit quality in common-law and code-law emerging markets: Evidence on earnings conservatism, agency costs and cost of equity Iatridis, George Emmanuel
2012
2 p. 101-117
17 p.
artikel
5 Before the fall: were East Asian currencies overvalued? Chinn, Menzie D
2000
2 p. 101-126
26 p.
artikel
6 2003 Best-paper award 2004
2 p. 129-
1 p.
artikel
7 Can market frictions really explain the price impact asymmetry of block trades? Evidence from the Saudi Stock Market Alzahrani, Ahmed A.
2012
2 p. 202-209
8 p.
artikel
8 Capital flows to central and Eastern Europe Lane, Philip R.
2007
2 p. 106-123
18 p.
artikel
9 Comparing capital structures and rates of return in developed and emerging markets Glen, Jack
2004
2 p. 161-192
32 p.
artikel
10 Competition and concentration in the banking sector of the South Eastern European region Mamatzakis, E.
2005
2 p. 192-209
18 p.
artikel
11 Correlations in emerging market bonds: The role of local and global factors Bunda, Irina
2009
2 p. 67-96
30 p.
artikel
12 Country and industry factors in returns: evidence from emerging markets’ stocks Serra, Ana Paula
2000
2 p. 127-151
25 p.
artikel
13 Credit crunch and shocks to firms: Korean experience under the Asian financial crisis Kim, Dong Won
2002
2 p. 195-210
16 p.
artikel
14 Demand uncertainty and the capital–labour ratio in Poland Green, Christopher J.
2001
2 p. 184-197
14 p.
artikel
15 Demography, credit and institutions: A global perspective Rabah, Arezki
2011
2 p. 79-93
15 p.
artikel
16 Did financial liberalization ease financing constraints? Evidence from Indian firm-level data Ghosh, Saibal
2006
2 p. 176-190
15 p.
artikel
17 Dual long memory property in returns and volatility: Evidence from the CEE countries' stock markets Kasman, Adnan
2009
2 p. 122-139
18 p.
artikel
18 Dynamic investment strategies with and without emerging equity markets Hagelin, Niclas
2004
2 p. 193-215
23 p.
artikel
19 Eastern and Western European firms public and private information quality: The comparative impact of degree of implementation of IFRS Djatej, Arsen
2011
2 p. 111-129
19 p.
artikel
20 Editorial Board 2009
2 p. IFC-
1 p.
artikel
21 Editorial Board 2003
2 p. IFC-
1 p.
artikel
22 Editorial Board 2006
2 p. CO2-
1 p.
artikel
23 Editorial Board 2004
2 p. IFC-
1 p.
artikel
24 Editorial Board 2008
2 p. IFC-
1 p.
artikel
25 Editorial Board 2005
2 p. CO2-
1 p.
artikel
26 Editorial Board 2007
2 p. IFC-
1 p.
artikel
27 Editorial Board 2011
2 p. IFC-
1 p.
artikel
28 Editorial Board 2012
2 p. IFC-
1 p.
artikel
29 Efficiency and bank profitability in MENA countries Olson, Dennis
2011
2 p. 94-110
17 p.
artikel
30 Emerging economies' attraction of foreign direct investment Groh, Alexander Peter
2012
2 p. 210-229
20 p.
artikel
31 Emerging markets research: Trends, issues and future directions Kearney, Colm
2012
2 p. 159-183
25 p.
artikel
32 Empirical evidence on cross-listed stocks of Central and Eastern European companies Korczak, Piotr
2005
2 p. 121-137
17 p.
artikel
33 European Union enlargement and equity markets in accession countries Dvořák, Tomáš
2006
2 p. 129-146
18 p.
artikel
34 Evaluating the performance of global emerging markets equity exchange-traded funds Blitz, David
2012
2 p. 149-158
10 p.
artikel
35 Evidence of interdependence and contagion using a frequency domain framework Bodart, Vincent
2009
2 p. 140-150
11 p.
artikel
36 Financial densities in emerging markets: an application of the multivariate ES density Mauleón, Ignacio
2003
2 p. 197-223
27 p.
artikel
37 Financing choices of firms in EU accession countries Nivorozhkin, Eugene
2005
2 p. 138-169
32 p.
artikel
38 Foreign banking in developing countries; origin matters Van Horen, Neeltje
2007
2 p. 81-105
25 p.
artikel
39 Further evidence on Asian stock return behavior de Groot, Caspar G.M.
2002
2 p. 179-193
15 p.
artikel
40 Governance, monitoring and foreign investment in Chinese companies Mishra, Anil V.
2011
2 p. 171-188
18 p.
artikel
41 Heterogeneity of sovereign rating migrations in emerging countries Al-Sakka, Rasha
2009
2 p. 151-165
15 p.
artikel
42 Including emerging markets in international momentum investment strategies Naranjo, Andy
2007
2 p. 147-166
20 p.
artikel
43 International equity portfolios: Selecting the right benchmark for emerging markets Hamza, Olfa
2006
2 p. 111-128
18 p.
artikel
44 Leading indicators of currency crises for emerging countries Burkart, Oliver
2002
2 p. 107-133
27 p.
artikel
45 Market integration in developed and emerging markets: Evidence from the CAPM Bruner, Robert F.
2008
2 p. 89-103
15 p.
artikel
46 Markov switching GARCH models of currency turmoil in Southeast Asia Brunetti, Celso
2008
2 p. 104-128
25 p.
artikel
47 Mexico's integration into the North American capital market Adler, Michael
2003
2 p. 91-120
30 p.
artikel
48 Official bailouts, moral hazard and the ‘speciality’ of the international interbank market Spadafora, Francesco
2003
2 p. 165-196
32 p.
artikel
49 On the duration of the financial system stability under liberalization Aka, Brou E.
2006
2 p. 147-161
15 p.
artikel
50 Performance and characteristics of acquiring firms in the Chinese stock markets Chi, Jing
2011
2 p. 152-170
19 p.
artikel
51 Poland: a successful transition to budget sustainability? Green, Christopher J.
2001
2 p. 161-183
23 p.
artikel
52 Portfolio concentration and closed-end fund discounts: Evidence from the China market Chan, Kalok
2008
2 p. 129-143
15 p.
artikel
53 Power arch modelling of the volatility of emerging equity markets Brooks, Robert
2007
2 p. 124-133
10 p.
artikel
54 Price jumps in Visegrad-country stock markets: An empirical analysis Hanousek, Jan
2012
2 p. 184-201
18 p.
artikel
55 Private benefits and cross-listings in the United States Benos, Evangelos
2004
2 p. 217-240
24 p.
artikel
56 Privatisation: politics, institutions, and financial markets Bortolotti, Bernardo
2001
2 p. 109-137
29 p.
artikel
57 Regulatory changes and market liquidity in Chinese stock markets Gao, Lei
2006
2 p. 162-175
14 p.
artikel
58 Return and volatility spillovers among CIVETS stock markets Korkmaz, Turhan
2012
2 p. 230-252
23 p.
artikel
59 Risk and ex ante cost of equity estimates of emerging market firms Mishra, Dev R.
2005
2 p. 107-120
14 p.
artikel
60 Risk and return characteristics of Islamic equity funds Hayat, Raphie
2011
2 p. 189-203
15 p.
artikel
61 Risk and return characteristics of property indices in emerging markets Barry, Christopher B
2004
2 p. 131-159
29 p.
artikel
62 Simple technical trading rules of stock returns: evidence from 1987 to 1998 in Chile Parisi, Franco
2000
2 p. 152-164
13 p.
artikel
63 State of corruption in transition: case of the Czech Republic Lı́zal, Lubomı́r
2001
2 p. 138-160
23 p.
artikel
64 Stock market liberalization and volatility in the presence of favorable market characteristics and institutions Jayasuriya, Shamila
2005
2 p. 170-191
22 p.
artikel
65 The corporate governance behavior and market value of Russian firms Black, Bernard
2001
2 p. 89-108
20 p.
artikel
66 The effects of privatization on the performance of newly privatized firms in emerging markets Mathur, Ike
2007
2 p. 134-146
13 p.
artikel
67 The equity risk premium: emerging vs. developed markets Salomons, Roelof
2003
2 p. 121-144
24 p.
artikel
68 The impact of corporate governance measures on the performance of West African IPO firms Hearn, Bruce
2011
2 p. 130-151
22 p.
artikel
69 The international lender of last resort and selective bail-out Bastidon, Cécile
2008
2 p. 144-152
9 p.
artikel
70 The long-term performance of privatization-related ADR issues Bülent Aybar, C.
2002
2 p. 135-164
30 p.
artikel
71 Theory and practice of corporate finance: Evidence and distinctive features in Latin America Maquieira, Carlos P.
2012
2 p. 118-148
31 p.
artikel
72 The returns to value and momentum in Asian Markets Brown, Stephen
2008
2 p. 79-88
10 p.
artikel
73 The risk and predictability of equity returns of the EU accession countries Mateus, Tiago
2004
2 p. 241-266
26 p.
artikel
74 Understanding reserve volatility in emerging markets: a look at the long-run Demarmels, Ricarda
2003
2 p. 145-164
20 p.
artikel
                             74 gevonden resultaten
 
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