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                             94 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 A brief note from the editors 2002
4 p. 307-309
3 p.
artikel
2 A Brief Note from the Editors Estrada, Javier
2003
4 p. 329-
1 p.
artikel
3 Analysing interconnectivity among economies Wong, Alfred Y-T.
2011
4 p. 432-442
11 p.
artikel
4 An analysis of skewness and skewness persistence in three emerging markets Adcock, C.J.
2005
4 p. 396-418
23 p.
artikel
5 An emerging market credit scoring system for corporate bonds Altman, Edward I.
2005
4 p. 311-323
13 p.
artikel
6 An empirical examination of UK emerging market unit trust performance Abel, Ernest
2004
4 p. 389-408
20 p.
artikel
7 Assessing risk in emerging markets Estrada, J.
2005
4 p. 309-310
2 p.
artikel
8 Automatic stabilizer feature of fixed exchange rate regimes Aysun, Uluc
2008
4 p. 302-328
27 p.
artikel
9 Can emerging market central banks bail out banks? A cautionary tale from Latin America Jacome H., Luis I.
2012
4 p. 424-448
25 p.
artikel
10 Choosing an optimal investment strategy: The role of robust pair-copulas based portfolios Mendes, Beatriz Vaz de Melo
2012
4 p. 449-464
16 p.
artikel
11 Corporate financial policies and the exchange rate regime: Evidence from Brazil Rossi Jr, José Luiz
2009
4 p. 279-295
17 p.
artikel
12 Corporate governance, agency problems and international cross-listings: A defense of the bonding hypothesis Karolyi, G. Andrew
2012
4 p. 516-547
32 p.
artikel
13 Corporate governance and dividend policy in emerging markets Mitton, Todd
2004
4 p. 409-426
18 p.
artikel
14 Corporate governance indices and firms' market values: Time series evidence from Russia Black, Bernard S.
2006
4 p. 361-379
19 p.
artikel
15 Crisis, internal governance mechanisms and pension fund performance: Evidence from Poland Jackowicz, Krzysztof
2012
4 p. 493-515
23 p.
artikel
16 Cross-sectional determinants of bank performance under deposit dollarization in emerging markets Kutan, Ali M.
2012
4 p. 478-492
15 p.
artikel
17 Debt composition and balance sheet effects of currency depreciation: a summary of the micro evidence Galindo, Arturo
2003
4 p. 330-339
10 p.
artikel
18 Debt composition and balance sheet effects of exchange rate depreciations: a firm-level analysis for Chile Benavente, José Miguel
2003
4 p. 397-416
20 p.
artikel
19 Debt composition and balance sheet effects of exchange rate volatility in Mexico: a firm level analysis Pratap, Sangeeta
2003
4 p. 450-471
22 p.
artikel
20 Debt composition and exchange rate balance sheet effect in Brazil: a firm level analysis Bonomo, Marco
2003
4 p. 368-396
29 p.
artikel
21 Depositary receipts and firm value: Evidence from Central Europe and Russia Smirnova, Elena
2008
4 p. 266-279
14 p.
artikel
22 Designing an early warning system for debt crises Ciarlone, Alessio
2005
4 p. 376-395
20 p.
artikel
23 Devaluations and emerging stock market returns Glen, Jack
2002
4 p. 409-428
20 p.
artikel
24 Does socially responsible investment equity indexes in emerging markets pay off? Evidence from Brazil Ortas, Eduardo
2012
4 p. 581-597
17 p.
artikel
25 ‘Dollar’ debt in Colombian firms: are sinners punished during devaluations? Echeverry, Juan Carlos
2003
4 p. 417-449
33 p.
artikel
26 Editorial Board 2009
4 p. IFC-
1 p.
artikel
27 Editorial Board 2003
4 p. IFC-
1 p.
artikel
28 Editorial Board 2002
4 p. IFC-
1 p.
artikel
29 Editorial Board 2006
4 p. CO2-
1 p.
artikel
30 Editorial Board 2005
4 p. CO2-
1 p.
artikel
31 Editorial Board 2004
4 p. CO2-
1 p.
artikel
32 Editorial Board 2008
4 p. IFC-
1 p.
artikel
33 Editorial Board 2007
4 p. IFC-
1 p.
artikel
34 Editorial Board 2011
4 p. IFC-
1 p.
artikel
35 Editorial Board 2012
4 p. IFC-
1 p.
artikel
36 Emerging market bond spreads and sovereign credit ratings: reconciling market views with economic fundamentals Sy, Amadou N.R
2002
4 p. 380-408
29 p.
artikel
37 Emerging market sovereign bond spreads: Estimation and back-testing Comelli, Fabio
2012
4 p. 598-625
28 p.
artikel
38 Empirical market microstructure: An analysis of the BRL/US$ exchange rate market Laurini, Márcio Poletti
2008
4 p. 247-265
19 p.
artikel
39 Exchange rate exposure: A nonparametric approach Aysun, Uluc
2011
4 p. 321-337
17 p.
artikel
40 Exchange rate regimes, globalisation, and the cost of capital in emerging markets de los Rios, Antonio Diez
2009
4 p. 311-330
20 p.
artikel
41 Exchange rate volatility and economic performance in Peru: a firm level analysis Carranza, Luis J
2003
4 p. 472-496
25 p.
artikel
42 Family firms and financial performance: The cost of growing González, Maximiliano
2012
4 p. 626-649
24 p.
artikel
43 Financial development and the evolution of property rights and legal institutions Miletkov, Mihail
2012
4 p. 650-673
24 p.
artikel
44 Financial dollarization and debt deflation under a currency board Galiani, Sebastian
2003
4 p. 340-367
28 p.
artikel
45 Financial integration and currency risk premium in CEECs: Evidence from the ICAPM Boubakri, Salem
2011
4 p. 460-484
25 p.
artikel
46 Financial market development in the Central and Eastern European Countries Berglund, Tom
2006
4 p. 280-282
3 p.
artikel
47 Financial market development in the Central and Eastern European countries Estrada, Javier
2006
4 p. 279-
1 p.
artikel
48 Foreign direct investment in the financial sector and economic growth in Central and Eastern Europe: The crucial role of the efficiency channel Eller, Markus
2006
4 p. 300-319
20 p.
artikel
49 Foreign equity flows and the “Size Bias”: Evidence from an emerging stock market Diyarbakirlioglu, Erkin
2011
4 p. 485-509
25 p.
artikel
50 Foreign investment, regulation and price volatility in South-east Asian stock markets Holmes, Phil
2001
4 p. 371-386
16 p.
artikel
51 Geographical focus in emerging markets and hedge fund performance Kotkatvuori-Örnberg, Juha
2011
4 p. 309-320
12 p.
artikel
52 Housing wealth effect in emerging economies Ciarlone, Alessio
2011
4 p. 399-417
19 p.
artikel
53 Industry and country factors in emerging market returns: Did the Asian crisis make a difference? Bai, Ye
2012
4 p. 559-580
22 p.
artikel
54 Interdependence of international equity variances: Evidence from East Asian markets Chuang, I-Yuan
2007
4 p. 311-327
17 p.
artikel
55 International cross-listing and stock pricing efficiency: An empirical study Liu, Shinhua
2007
4 p. 251-263
13 p.
artikel
56 Intra-day seasonalities on stock returns: evidence from the Turkish Stock Market Bildik, Recep
2001
4 p. 387-417
31 p.
artikel
57 Introduction to ‘Valuation in Emerging Markets’ Bruner, Robert F.
2002
4 p. 310-324
15 p.
artikel
58 Is locking domestic funds into the local market beneficial? Evidence from the Polish pension reforms Zalewska, Anna
2006
4 p. 339-360
22 p.
artikel
59 Macroeconomic factors and emerging market equity returns: a Bayesian model selection approach Hooker, Mark A.
2004
4 p. 379-387
9 p.
artikel
60 Macroeconomic shocks and the co-movement of stock returns in Latin America Araújo, Eurilton
2009
4 p. 331-344
14 p.
artikel
61 Market integration and contagion: Evidence from Asian emerging stock and foreign exchange markets Tai, Chu-Sheng
2007
4 p. 264-283
20 p.
artikel
62 Measuring transparency and disclosure at firm-level in emerging markets Patel, Sandeep A
2002
4 p. 325-337
13 p.
artikel
63 Modelling country spillover effects in country risk ratings Hoti, Suhejla
2005
4 p. 324-345
22 p.
artikel
64 Monetary autonomy in emerging market economies: The role of foreign reserves Taguchi, Hiroyuki
2011
4 p. 371-388
18 p.
artikel
65 On the stability of domestic financial market linkages in the presence of time-varying volatility Flavin, Thomas J.
2008
4 p. 280-301
22 p.
artikel
66 Predicting default probabilities and implementing trading strategies for emerging markets bond portfolios Berardi, Andrea
2004
4 p. 447-469
23 p.
artikel
67 Predicting financial crises in emerging markets using a composite non-parametric model Apoteker, Thierry
2005
4 p. 363-375
13 p.
artikel
68 Predicting returns and changes in real activity: evidence from emerging economies Rangvid, Jesper
2001
4 p. 309-329
21 p.
artikel
69 Public debt and social expenditure: Friends or foes? Lora, Eduardo
2007
4 p. 299-310
12 p.
artikel
70 Quantification of sovereign risk: Using the information in equity market prices Oshiro, Naoto
2005
4 p. 346-362
17 p.
artikel
71 Real exchange rates, dollarization and industrial employment in Latin America Galindo, Arturo
2007
4 p. 284-298
15 p.
artikel
72 Regional differences in development of life insurance markets in China Pan, Guochen
2012
4 p. 548-558
11 p.
artikel
73 Regional financial integration in the GCC Espinoza, Raphael
2011
4 p. 354-370
17 p.
artikel
74 Relationship between portfolio diversification and value at risk: Empirical evidence Kiani, Khurshid M.
2011
4 p. 443-459
17 p.
artikel
75 Research in emerging markets finance: looking to the future Bekaert, Geert
2002
4 p. 429-448
20 p.
artikel
76 Risks of investing in the Russian stock market: Lessons of the first decade Goriaev, Alexei
2006
4 p. 380-397
18 p.
artikel
77 Say you fix, enjoy and relax. The deleterious effect of peg announcements on fiscal discipline in emerging markets Alberola, Enrique
2007
4 p. 328-338
11 p.
artikel
78 Sector level cost of equity in African financial markets Hearn, Bruce
2009
4 p. 257-278
22 p.
artikel
79 Stock market correlations between China and its emerging market neighbors Jayasuriya, Shamila A.
2011
4 p. 418-431
14 p.
artikel
80 Strategies of foreign banks in transition economies Haselmann, Rainer
2006
4 p. 283-299
17 p.
artikel
81 Systematic risk in emerging markets: the D-CAPM Estrada, Javier
2002
4 p. 365-379
15 p.
artikel
82 The determinants of China's outward foreign direct investment Zhang, Xiaoxi
2011
4 p. 389-398
10 p.
artikel
83 The evolution of trading activity in Asian foreign exchange markets Tsuyuguchi, Yosuke
2008
4 p. 231-246
16 p.
artikel
84 The impact of the Argentine default on volatility co-movements in emerging bond markets Cifarelli, Giulio
2004
4 p. 427-446
20 p.
artikel
85 The persistence of emerging market equity flows Froot, Kenneth A.
2002
4 p. 338-364
27 p.
artikel
86 The real exchange rate and the output response in four EU accession countries Mills, Terence C
2001
4 p. 418-430
13 p.
artikel
87 The relationship between liquidity, corporate governance, and firm valuation: Evidence from Russia Li, Wei-Xuan
2012
4 p. 465-477
13 p.
artikel
88 The reversibility of different types of capital flows to emerging markets Sula, Ozan
2009
4 p. 296-310
15 p.
artikel
89 The role of cash holdings in reducing investment–cash flow sensitivity: Evidence from a financial crisis period in an emerging market Arslan, Özgür
2006
4 p. 320-338
19 p.
artikel
90 The role of the stock market in the provision of Islamic development finance: Evidence from Sudan Hearn, Bruce
2011
4 p. 338-353
16 p.
artikel
91 The tail risk of emerging stock markets Li, Xiao-Ming
2009
4 p. 242-256
15 p.
artikel
92 The use of Fx derivatives and the cost of capital: Evidence of Brazilian companies Coutinho, João Ricardo Ribeiro
2012
4 p. 411-423
13 p.
artikel
93 The valuation of closely-held companies in Latin America Pereiro, Luis E.
2001
4 p. 330-370
41 p.
artikel
94 The “value” effect and the market for Chinese stocks Malkiel, Burton
2009
4 p. 227-241
15 p.
artikel
                             94 gevonden resultaten
 
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