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                             46 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 Bank regulation and efficiency: What works for Africa? Triki, Thouraya
2017
PA p. 183-205
23 p.
artikel
2 BRICS money talks: Comparative socio-cultural communicative taxonomy of the New Development Bank Zavyalova, Natalya
2017
PA p. 248-266
19 p.
artikel
3 Business strategy, overvalued equities, and stock price crash risk Habib, Ahsan
2017
PA p. 389-405
17 p.
artikel
4 Causes and consequences of energy price shocks on petroleum-based stock market using the spillover asymmetric multiplicative error model Khalifa, Ahmed A.
2017
PA p. 307-314
8 p.
artikel
5 China’s intervention in the central parity rate: A Bayesian Tobit analysis Li, He
2017
PA p. 612-624
13 p.
artikel
6 Collateral-based in SME lending: The role of business collateral and personal collateral in less-developed countries Dias Duarte, Fábio
2017
PA p. 406-422
17 p.
artikel
7 Complex ownership structures, corporate governance and firm performance: The French context. Ducassy, Isabelle
2017
PA p. 291-306
16 p.
artikel
8 Corporate governance and cash holdings in MENA: Evidence from internal and external governance practices Al-Najjar, Basil
2017
PA p. 1-12
12 p.
artikel
9 Corporate governance, political involvement, and internationalization: An empirical investigation in Japan and Taiwan Chen, Li-Wen
2017
PA p. 640-655
16 p.
artikel
10 Discount rate or cash flow contagion? Evidence from the recent financial crises Jiang, Junhua
2017
PA p. 315-326
12 p.
artikel
11 Does patriotic vigilance make any sense in the transnational arena? A cosmopolitan alternative to the globalization paradox Pilkington, Marc
2017
PA p. 502-512
11 p.
artikel
12 Do monetary, fiscal and financial institutions really matter for inflation targeting in emerging market economies? Hove, Seedwell
2017
PA p. 128-149
22 p.
artikel
13 Dynamic correlations and domestic-global diversification Li, Leon
2017
PA p. 280-290
11 p.
artikel
14 Earnings management to exceed thresholds in continental and Anglo-Saxon accounting models: The British and French cases Halaoua, Sameh
2017
PA p. 513-529
17 p.
artikel
15 Entering the public bond market during the financial crisis: Underinvestment and asymmetric information costs Kashefi Pour, Eilnaz
2017
PA p. 102-114
13 p.
artikel
16 European board structure and director expertise: The impact of quotas Lending, Claire Crutchley
2017
PA p. 486-501
16 p.
artikel
17 Financial literacy in Tunisia: Its determinants and its implications on investment behavior Mouna, Amari
2017
PA p. 568-577
10 p.
artikel
18 Foreign direct investment and environmental sustainability in Africa: The role of institutions and governance Bokpin, Godfred A.
2017
PA p. 239-247
9 p.
artikel
19 Foreign institutional investment, business groups and firm performance: Evidence from India Mukhopadhyay, Jhuma
2017
PA p. 454-465
12 p.
artikel
20 Green energy companies: Stock performance and IPO returns Anderloni, Luisa
2017
PA p. 546-552
7 p.
artikel
21 How does managerial opportunism affect the cost of debt financing? Ghouma, Hatem
2017
PA p. 13-29
17 p.
artikel
22 Income structure, profitability and risk in the European banking sector: The impact of the crisis Maudos, Joaquín
2017
PA p. 85-101
17 p.
artikel
23 Inside front cover - Editorial Board - Bottom half 2017
PA p. IFC-
1 p.
artikel
24 Intraday analysis of macroeconomic news surprises and asymmetries in mini-futures markets Vortelinos, Dimitrios I.
2017
PA p. 150-168
19 p.
artikel
25 Monday effect in Brazilian hedge funds with immediate redemption Mamede, Samuel de Paiva Naves
2017
PA p. 47-53
7 p.
artikel
26 National culture, information environment, and sensitivity of investment to stock prices: Evidence from emerging markets Farooq, Omar
2017
PA p. 41-46
6 p.
artikel
27 New evidence on stock market reaction to dividend announcements in India Kumar, Satish
2017
PA p. 327-337
11 p.
artikel
28 On the predictability of carry trade returns: The case of the Chinese Yuan Cheong, Calvin W.H.
2017
PA p. 358-376
19 p.
artikel
29 Political uncertainty and behavior of Tunisian stock market cycles: Structural unobserved components time series models Trabelsi Mnif, Afef
2017
PA p. 206-214
9 p.
artikel
30 Sovereign and bank Interdependencies—Evidence from the CDS market Yu, Sherry
2017
PA p. 68-84
17 p.
artikel
31 Stock return and volatility reactions to information demand and supply Moussa, Faten
2017
PA p. 54-67
14 p.
artikel
32 Sustainability disclosure, dominant owners and earnings informativeness Bona-Sánchez, Carolina
2017
PA p. 625-639
15 p.
artikel
33 The Basel III net stable funding ratio adjustment speed and systemic risk Ly, Kim Cuong
2017
PA p. 169-182
14 p.
artikel
34 The dynamics of the relative global sector effects and contagion in emerging markets equity returns Boamah, Nicholas Addai
2017
PA p. 433-453
21 p.
artikel
35 The effect of US bank holding companies’ exposure to asset-backed commercial paper conduits on the information opacity and systemic risk Kozubovska, Mariolia
2017
PA p. 530-545
16 p.
artikel
36 The effects of fair value reporting on corporate foreign exchange exposures Krapl, Alain
2017
PA p. 215-238
24 p.
artikel
37 The financing of Chinese outbound mergers and acquisitions: Is there a distortion between state-owned enterprises and privately owned enterprises? Sun, Zhe
2017
PA p. 377-388
12 p.
artikel
38 The relation between auditor reputation, earnings and capital management in the banking sector: An international investigation Magnis, Chris
2017
PA p. 338-357
20 p.
artikel
39 The returns, risk and liquidity relationship in high frequency trading: Evidence from the Oslo stock market Dinh, Minh Thi Hong
2017
PA p. 30-40
11 p.
artikel
40 Towards an asymmetric long run equilibrium between stock market uncertainty and the yield spread. A threshold vector error correction approach Evgenidis, Anastasios
2017
PA p. 267-279
13 p.
artikel
41 US monetary policy and global financial stability Tong, Eric
2017
PA p. 466-485
20 p.
artikel
42 Valuing emerging markets companies: New approaches to determine the effective exposure to country risk Roggi, Oliviero
2017
PA p. 553-567
15 p.
artikel
43 Volatility spillover and hedging strategies between Islamic and conventional stocks in the presence of asymmetry and long memory El Mehdi, Imen Khanchel
2017
PA p. 595-611
17 p.
artikel
44 Volatility transmission between US and Latin American stock markets: Testing the decoupling hypothesis Cardona, Laura
2017
PA p. 115-127
13 p.
artikel
45 Was the collapse of the communist bloc a game changer in the stock markets? Left-wing vs. right-wing political preferences and stock market development Geller, Gabriel
2017
PA p. 423-432
10 p.
artikel
46 What drives bank performance in transitions economies? The impact of reforms and regulations Psillaki, Maria
2017
PA p. 578-594
17 p.
artikel
                             46 gevonden resultaten
 
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