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                             92 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 A bargaining approach to currency collars Lien, Donald
2004
3 p. 229-236
8 p.
artikel
2 An empirical and institutional examination of post-crisis capital flows—Thailand case Dekle, Robert
2004
3 p. 291-303
13 p.
artikel
3 An empirical study of equity agency costs and internationalization: Evidence from Taiwanese firms Chiang, Yi-Chein
2009
3 p. 369-382
14 p.
artikel
4 A new value-weighted total return index for the Finnish stock market Nyberg, Peter
2010
3 p. 267-283
17 p.
artikel
5 A re-examination of the index effect: Gambling on additions to and deletions from the S&P 500's ‘gold seal’ Kappou, Konstantina
2008
3 p. 325-350
26 p.
artikel
6 Are share prices still too high? McMillan, David G.
2009
3 p. 223-232
10 p.
artikel
7 Asset pricing and foreign exchange risk Apergis, Nicholas
2011
3 p. 308-328
21 p.
artikel
8 Author Index of Volume 20 2006
3 p. 369-370
2 p.
artikel
9 Author Index to Volume 18 2004
3 p. 361-362
2 p.
artikel
10 Author Index to Volume 19 2005
3 p. 427-428
2 p.
artikel
11 Baltic stock markets and the financial crisis of 2008–2009 Nikkinen, Jussi
2012
3 p. 398-409
12 p.
artikel
12 Banking industry volatility and economic growth Moshirian, Fariborz
2012
3 p. 428-442
15 p.
artikel
13 Bond elasticity under liquidation risk Jacoby, Gady
2005
3 p. 351-364
14 p.
artikel
14 Capital structure in an emerging stock market: The case of India Chakraborty, Indrani
2010
3 p. 295-314
20 p.
artikel
15 Causality-in-mean and causality-in-variance among electricity prices, crude oil prices, and yen–US dollar exchange rates in Japan Nakajima, Tadahiro
2012
3 p. 371-386
16 p.
artikel
16 Commodity prices and inflation: Testing in the frequency domain Ciner, Cetin
2011
3 p. 229-237
9 p.
artikel
17 Conditional risk, return and contagion in the banking sector in asia Brailsford, T.J.
2006
3 p. 322-339
18 p.
artikel
18 Contrarian strategy and overreaction in foreign exchange markets Parikakis, George S.
2008
3 p. 319-324
6 p.
artikel
19 Corporate governance and regulation in China: Openness and challenges Chi, Jing
2007
3 p. 361-365
5 p.
artikel
20 Correlation dynamics in European equity markets Kearney, Colm
2006
3 p. 305-321
17 p.
artikel
21 Currency risk exposure of Chinese corporations Aggarwal, Raj
2011
3 p. 266-276
11 p.
artikel
22 Dependence and mean reversion in stock prices: The case of the MENA region Assaf, A.
2006
3 p. 286-304
19 p.
artikel
23 Do ADRs enhance portfolio performance for a domestic portfolio? Evidence from the 1990s Arnold, Tom
2004
3 p. 341-359
19 p.
artikel
24 Do ETFs provide effective international diversification? Huang, Mei-Yueh
2011
3 p. 335-344
10 p.
artikel
25 Do regulatory policies affect the flow of information in emerging markets? 1 Farag, Hisham
2011
3 p. 238-254
17 p.
artikel
26 Editorial Board 2007
3 p. CO2-
1 p.
artikel
27 Editorial Board 2008
3 p. CO2-
1 p.
artikel
28 Editorial Board 2010
3 p. CO2-
1 p.
artikel
29 Editorial Board 2009
3 p. CO2-
1 p.
artikel
30 Editorial Board 2006
3 p. CO2-
1 p.
artikel
31 Editorial Board 2012
3 p. CO2-
1 p.
artikel
32 Editorial Board 2011
3 p. CO2-
1 p.
artikel
33 Efficiency tests of foreign exchange markets for four Asian Countries Chiang, Shu-Mei
2010
3 p. 284-294
11 p.
artikel
34 Empirical evidence on the use, size and cost of executive options schemes in Australia Carlin, Tyrone M.
2006
3 p. 340-347
8 p.
artikel
35 Equity market integration in emerging Balkan markets Kenourgios, Dimitris
2011
3 p. 296-307
12 p.
artikel
36 Estimating the technical and scale efficiency of Greek commercial banks: The impact of credit risk, off-balance sheet activities, and international operations Pasiouras, Fotios
2008
3 p. 301-318
18 p.
artikel
37 Explaining returns on venture capital backed companies: Evidence from Belgium Alperovych, Yan
2011
3 p. 277-295
19 p.
artikel
38 Explaining underpricing of IPOs in frontier markets: Evidence from the Nigeria Stock Exchange Adjasi, Charles K.D.
2011
3 p. 255-265
11 p.
artikel
39 Explanatory factors of the inflation news impact on stock returns by sector: The Spanish case Díaz, Antonio
2009
3 p. 349-368
20 p.
artikel
40 Financial constraints and continental business groups: Evidence from German Konzerns Gorodnichenko, Yuriy
2009
3 p. 233-242
10 p.
artikel
41 Financial guarantors’ executive compensation, charter value and risk-taking Lai, Van Son
2012
3 p. 387-397
11 p.
artikel
42 Financial liberalization and changes in the dynamic behaviour of emerging market volatility: Evidence from four Latin American equity markets Diamandis, Panayiotis F.
2008
3 p. 362-377
16 p.
artikel
43 Financial markets and economic performances: Empirical evidence from five industrialized economies Colombage, Sisira R.N.
2009
3 p. 339-348
10 p.
artikel
44 Further evidence on the efficiency of the Chinese stock markets: A note Fifield, Suzanne G.M.
2008
3 p. 351-361
11 p.
artikel
45 Hurst exponent behavior and assessment of the MENA stock markets efficiency Rejichi, Imen Zgueb
2012
3 p. 353-370
18 p.
artikel
46 Information transmission between the Gulf equity markets of Saudi Arabia and Bahrain Abraham, Abraham
2006
3 p. 276-285
10 p.
artikel
47 Inside front cover - Editorial Board - Bottom half 2004
3 p. IFC-
1 p.
artikel
48 Inside front cover - Editorial Board - Bottom half 2005
3 p. CO2-
1 p.
artikel
49 Internal capital networks as a source of MNC competitive advantage: Evidence from foreign subsidiary capital structure decisions Aggarwal, Raj
2008
3 p. 409-439
31 p.
artikel
50 International linkage of the Russian market and the Russian financial crisis: A multivariate GARCH analysis Saleem, Kashif
2009
3 p. 243-256
14 p.
artikel
51 Intraday volatility and periodicity in the Malaysian stock returns Haniff, Mohd Nizal
2010
3 p. 329-343
15 p.
artikel
52 Investment bank reputation and shareholder wealth effects in mergers and acquisitions Schiereck, Dirk
2009
3 p. 257-273
17 p.
artikel
53 Investor sentiment and calendar anomaly effects: A case study of the impact of Ramadan on Islamic Middle Eastern markets Al-Hajieh, Heitham
2011
3 p. 345-356
12 p.
artikel
54 ISO system implementation in small and medium companies from new EU member countries: A tool of managerial and marketing benefits development Urbonavicius, Sigitas
2005
3 p. 412-426
15 p.
artikel
55 Is smarter better? A comparison of adaptive, and simple moving average trading strategies Ellis, Craig A.
2005
3 p. 399-411
13 p.
artikel
56 Is technical analysis profitable on a stock market which has characteristics that suggest it may be inefficient? Marshall, Ben R.
2005
3 p. 384-398
15 p.
artikel
57 Listing regulations in China and their effect on the performance of IPOs and SOEs Wan, Jiayong
2007
3 p. 366-378
13 p.
artikel
58 Local and spillover shocks in implied market volatility: evidence for the U.S. and Germany Wagner, Niklas
2004
3 p. 237-251
15 p.
artikel
59 Managerial ownership and firm performance: Evidence from China's privatizations Li, Donghui
2007
3 p. 396-413
18 p.
artikel
60 Market discipline and the evaluation of Euro financial bonds—An empirical analysis Menz, Klaus-Michael
2010
3 p. 315-328
14 p.
artikel
61 Market structure and microstructure, in international interest rate futures markets McGroarty, Frank
2010
3 p. 253-266
14 p.
artikel
62 Order imbalance, market returns and macroeconomic news Smales, Lee A.
2012
3 p. 410-427
18 p.
artikel
63 Publisher's Announcement 2006
3 p. 275-
1 p.
artikel
64 Random walk and efficiency tests in the Asia-Pacific foreign exchange markets: Evidence from the post-Asian currency crisis data Azad, A.S.M. Sohel
2009
3 p. 322-338
17 p.
artikel
65 Realizing the volatility impacts of sovereign credit ratings information on equity and currency markets: Evidence from the Asian Financial Crisis Treepongkaruna, Sirimon
2012
3 p. 335-352
18 p.
artikel
66 Regime-switching volatility of six East Asian emerging markets Wang, Ping
2008
3 p. 267-283
17 p.
artikel
67 Seasonality in stock returns and volatility: The Ramadan effect Seyyed, Fazal J.
2005
3 p. 374-383
10 p.
artikel
68 Structural effects and spillovers in HSIF, HSI and S&P500 volatility Gannon, Gerard
2004
3 p. 305-317
13 p.
artikel
69 Subject Index of Volume 20 2006
3 p. 371-372
2 p.
artikel
70 Subject Index to Volume 18 2004
3 p. 363-364
2 p.
artikel
71 Subject Index to Volume 19 2005
3 p. 429-430
2 p.
artikel
72 Testing stock market linkages for Poland and Hungary: A multivariate GARCH approach Li, Hong
2008
3 p. 247-266
20 p.
artikel
73 Test of the J-curve for the DR-CAFTA countries and policy implications Hsing, Yu
2009
3 p. 293-301
9 p.
artikel
74 The behavior of stock returns in the mining industry following the Iraq war Fernandez, Viviana
2009
3 p. 274-292
19 p.
artikel
75 The choice of maturity and additional covenants in debt contracts: A panel data approach Correia, Maria do Rosário
2008
3 p. 284-300
17 p.
artikel
76 The current account and stock returns Kitamura, Yoshihiro
2009
3 p. 302-321
20 p.
artikel
77 The dynamic interaction between volatility and returns in the US stock market using leveraged bootstrap simulations Hatemi-J, Abdulnasser
2011
3 p. 329-334
6 p.
artikel
78 The economy and demand for finance Ph.D.s: 1989–2001 Ding, David K.
2004
3 p. 253-290
38 p.
artikel
79 The influence of the degree of state ownership and the ownership concentration on the performance of listed Chinese companies Gunasekarage, Abeyratna
2007
3 p. 379-395
17 p.
artikel
80 The informational efficiency and the financial crashes Risso, Wiston Adrián
2008
3 p. 396-408
13 p.
artikel
81 The information content of rights offerings in China Chen, Chao
2007
3 p. 414-427
14 p.
artikel
82 The internationalization of Chinese companies: Firm characteristics, industry effects and corporate governance Kling, Gerhard
2011
3 p. 357-372
16 p.
artikel
83 The linkage between the US and Korean stock markets: the case of NASDAQ, KOSDAQ, and the semiconductor stocks Jeon, Bang Nam
2004
3 p. 319-340
22 p.
artikel
84 The reaction of the Australian financial markets to the interest rate news from the Reserve Bank of Australia and the U.S. Fed Kim, Suk-Joong
2008
3 p. 378-395
18 p.
artikel
85 The underperformance of the growth enterprise market in Hong Kong Chan, Pak To
2007
3 p. 428-446
19 p.
artikel
86 The under-pricing of IPOs in the Gulf cooperation council countries Al-Hassan, Abdullah
2010
3 p. 344-360
17 p.
artikel
87 Timing and selectivity in Portuguese mutual fund performance Romacho, João Carlos
2006
3 p. 348-368
21 p.
artikel
88 Tourism and economic development in a cash-in-advance economy Chao, Chi-Chur
2005
3 p. 365-373
9 p.
artikel
89 Transaction cost, corporate governance and division of labor—A general equilibrium analysis of professional managers and its implication to China's practice Li, Ke
2007
3 p. 447-468
22 p.
artikel
90 Volume Contents 2004
3 p. 365-366
2 p.
artikel
91 Volume Contents 2005
3 p. 431-432
2 p.
artikel
92 Volume Contents 2006
3 p. 373-374
2 p.
artikel
                             92 gevonden resultaten
 
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