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                             177 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 Academic content, research productivity, and tenure Brusa, Jorge
2008
1 p. 46-60
artikel
2 Advertisement-financed credit ratings Hoppe-Wewetzer, Heidrun

1 p. 188-206
artikel
3 Agency problems in tracking stock and minority carve-out decisions: Explaining the discrepancy in short- and long-term performances He, Wei
2007
1 p. 27-42
artikel
4 A multivariate unobserved component analysis of US housing market Fadiga, Mohamadou L.
2008
1 p. 13-26
artikel
5 Analysing contagion and bailout effects with copulae Weiß, Gregor N. F.
2009
1 p. 1-32
artikel
6 Analyzing the impact of workers’ remittances on household consumption in Latin American and Caribbean Countries Ramcharran, Harri

1 p. 59-77
artikel
7 Anatomy of intraday volatility at the Chilean stock exchange Inci, A. Can

1 p. 68-98
artikel
8 An empirical analysis of the impact of large changes in institutional ownership on CEO compensation risk Ning, Yixi
2012
1 p. 23-47
artikel
9 An empirical test for bubbles in cryptocurrency markets Waters, George A.

1 p. 207-219
artikel
10 An examination of return and volatility spillovers between mature equity markets Jain, Payal
2018
1 p. 180-210
artikel
11 An international study of causality-in-variance: Interest rate and financial sector returns Alaganar, V. T.

1 p. 39-55
artikel
12 A nonparametric approach to market timing: evidence from Spanish mutual funds Alvarez, José
2012
1 p. 119-132
artikel
13 A note on the evaluation of long-run investment decisions using the sharpe ratio Johnston, Ken
2011
1 p. 150-157
artikel
14 A note on the relation between the equity risk premium and the term structure Kanas, Angelos
2008
1 p. 89-95
artikel
15 Are day traders bias free?—evidence from internet stock message boards Zhang, Ying
2008
1 p. 96-112
artikel
16 Are standard asset pricing factors long-range dependent? Auer, Benjamin Rainer
2017
1 p. 66-88
artikel
17 Asymmetric effects of exchange rate volatility on trade flows: evidence from G7 Bahmani-Oskooee, Mohsen

1 p. 38-62
artikel
18 Asymmetric reaction is rational behavior Horvath, Philip A.
2015
1 p. 160-179
artikel
19 A synthesized model of short selling constraints and their impact on stock returns Gutierrez, Jose
2017
1 p. 191-210
artikel
20 A synthetic control analysis of U.S. state level COVID-19 stay-at-home orders on new jobless claims Gibson, John

1 p. 1-14
artikel
21 A time series test to identify housing bubbles Escobari, Diego
2013
1 p. 136-152
artikel
22 Board independence and market reactions around news of stock option backdating Iqbal, Zahid
2009
1 p. 104-115
artikel
23 Board leadership structure and corporate headquarters location Borah, Nilakshi

1 p. 35-58
artikel
24 Budget deficits and real interest rates: a regime-switching reflection on Ricardian Equivalence Choi, Daniel F. S.
2011
1 p. 71-83
artikel
25 Can overconfidence explain the consumption hump? Bagchi, Shantanu
2009
1 p. 41-70
artikel
26 Can we consistently forecast a firm’s earnings? Using combination forecast methods to predict the EPS of Dow firms Bansal, Naresh
2012
1 p. 1-22
artikel
27 Capital investment and non-constant marginal cost of capital Stretcher, Robert
2015
1 p. 27-50
artikel
28 Capital outflow liberalization and stock market reaction in an emerging market: Experience from Greece Chortareas, Georgios E.

1 p. 77-89
artikel
29 CEO ability and firm performance: Stock market and job market reactions Mukherjee, Tarun
2017
1 p. 138-154
artikel
30 CEO age, education, and introduction of hedging in the oil and gas industry Iqbal, Zahid
2013
1 p. 189-200
artikel
31 Comparing Africa, Asia and Latin America/Caribbean countries using per capita GDP, remittances, openness, capital/labor ratios and freedom Collins, Sondra
2014
1 p. 188-198
artikel
32 Converting remittances to investment: a dynamic optimal policy Nawaz, Nasreen

1 p. 140-160
artikel
33 Corporate borrowing and growth option value: The limited liability effect Jou, Jyh-Bang

1 p. 80-99
artikel
34 Corporate investment, dividend decisions, differential taxation and the no-arbitrage condition Ardalan, Kavous

1 p. 49-58
artikel
35 Corruption perceptions versus corruption incidence: Competition for rents across Russian regions Belousova, Veronika
2014
1 p. 172-187
artikel
36 Covid-19 pandemic and stock returns in India Dharani, Munusamy

1 p. 251-266
artikel
37 Crack spread option pricing with copulas Herath, Hemantha S. B.
2011
1 p. 100-121
artikel
38 Debt dependence and corporate performance in a financial crisis: evidence from the sub-prime mortgage crisis Adjei, Frederick
2010
1 p. 176-189
artikel
39 Derivative use, ownership structure and lending activities of US banks Abugri, Benjamin A.

1 p. 146-170
artikel
40 Determinants of public spending efficiency in education and health: evidence from selected CEMAC countries Fonchamnyo, Dobdinga C.
2014
1 p. 199-210
artikel
41 Directors’ liability insurance and investment-cash flow sensitivity Chan, Chia-Chung
2018
1 p. 27-43
artikel
42 Do credit associations compete with each other in Japanese regional lending markets? Kondo, Kazumine
2016
1 p. 195-210
artikel
43 Does economic policy uncertainty matter to explain connectedness within the international sovereign bond yields? Benlagha, Noureddine

1 p. 1-21
artikel
44 Does geographical location matter for managerial compensation design? Zhang, Jing
2016
1 p. 1-32
artikel
45 Does sentiment explain consumption? Anthony Bryant, W. D.

1 p. 97-110
artikel
46 Does the strength of capital market anomalies exhibit seasonal patterns? Auer, Benjamin R.
2018
1 p. 91-103
artikel
47 Do liquidity induced changes in aggregate dividends signal aggregate future earnings growth? Wann, Christi
2007
1 p. 1-12
artikel
48 Do more financing obstacles trigger tax avoidance behavior? Evidence from Indian SMEs Elbannan, Mohamed A.

1 p. 161-178
artikel
49 Do size and unobservable company factors explain stock price reversals? Cressy, Robert
2009
1 p. 1-21
artikel
50 Dynamic linkages between US and Eurodollar interest rates: new evidence from causality in quantiles Tah, Kenneth A.

1 p. 200-210
artikel
51 Economic and Institutional Determinants of Corruption: The Case of Developed and Developing Countries Acaravci, Ali

1 p. 207-231
artikel
52 Effects of time horizon and asset condition on the profitability of technical trading rules Hayes, Roy L.
2014
1 p. 41-59
artikel
53 Efficiency on the dynamic adjustment path in a financial market Nawaz, Nasreen

1 p. 49-74
artikel
54 Empirical analysis of the impact of cigarette excise taxes on cigarette consumption: estimates from recent state-level data Cebula, Richard J.
2011
1 p. 164-180
artikel
55 Equilibrium exchange rates in oil-exporting countries Korhonen, Iikka
2008
1 p. 71-79
artikel
56 EU accession: A boon or bane for corruption? Alfano, Vincenzo

1 p. 1-21
artikel
57 Euro conversion and return dynamics of European financial markets: a frequency domain approach Grossmann, Axel
2011
1 p. 1-26
artikel
58 Exploring stock recommenders’ behavior and recommendation receivers’ sophistication Chang, Chih-Hsiang
2015
1 p. 1-26
artikel
59 Federal Home Loan Bank advances and bank risk Davidson, Travis
2014
1 p. 137-156
artikel
60 Financial liberalization and firms’ capital structure adjustments evidence from Southeast Asia and South America Ameer, Rashid
2010
1 p. 1-32
artikel
61 Financing constraints and exports: evidence from India Padmaja, M.

1 p. 118-145
artikel
62 Financing professional partnerships Wilson, Linus
2009
1 p. 58-92
artikel
63 Firm specific pass through and heterogeneity Sheidaei, Zahra

1 p. 142-156
artikel
64 Foreign exchange rate moments and FDI in Ghana Mensah, Lord
2015
1 p. 136-152
artikel
65 Fuelling fire sales? Prudential regulation and crises: evidence from the Italian market Leardi, Alessandro

1 p. 121-144
artikel
66 GDP trend deviations and the yield spread: the case of eight E.U. countries Gogas, Periklis
2011
1 p. 226-237
artikel
67 Gold and oil prices: stable or unstable long-run relationship Bassil, Charbel
2018
1 p. 57-72
artikel
68 Golden eggs versus plastic eggs: hyperbolic preferences and the persistence of debit King, Amanda Swift
2009
1 p. 93-103
artikel
69 Growth opportunities and earnings management by cross-listed and U.S. firms Jategaonkar, Shrikant P.

1 p. 157-183
artikel
70 Health care and the cross-section of US stock returns Payne, Brian C.
2013
1 p. 153-170
artikel
71 Hedge funds, fund attributes and risk adjusted returns Soydemir, Gökçe
2011
1 p. 133-149
artikel
72 How useful are signals? A micro-structure analysis O’Neill, Michele
2007
1 p. 60-70
artikel
73 Income smoothing and foreign asset holdings Balli, Faruk
2008
1 p. 23-29
artikel
74 Index trading and portfolio risk Kvamvold, Joakim
2015
1 p. 78-99
artikel
75 Individual versus institutional investors and the weekend effect Brockman, Paul

1 p. 71-85
artikel
76 Inflation and growth: the role of institutions Yilmazkuday, Hakan

1 p. 167-187
artikel
77 Informational externalities of initial public offerings: Does venture capital backing matter? Cotei, Carmen
2011
1 p. 80-99
artikel
78 Information markets, product markets and vertical merger Chen, Jihui
2011
1 p. 33-61
artikel
79 Institutional investors’ activism and credit ratings Farooqi, Javeria
2015
1 p. 51-77
artikel
80 Interest-rate and calendar-time effects in money market fund and bank deposit cash flows Kotomin, Vladimir
2011
1 p. 84-95
artikel
81 Inter-industry differences in layoff announcement effects for financial institutions Cagle, Julie A. B.
2008
1 p. 100-110
artikel
82 International movements of money and men: impact on the informal economy Goel, Rajeev K.

1 p. 179-197
artikel
83 International strengthen of intellectual property rights, and financial markets development Vita, Giuseppe Di
2014
1 p. 60-67
artikel
84 International transmission of stock price movements: Evidence from the U.S. and five Asian-Pacific markets Liu, Y. Angela

1 p. 59-69
artikel
85 Is the empirical relationship between hours and productivity effected by corporate profits? Malik, Kashif Zaheer

1 p. 99-119
artikel
86 Keeping what you like: grandfathering and health insurance coverage take-up rates under the ACA Kattih, Nour

1 p. 188-199
artikel
87 Learning advanced technology in easier ways from developed countries Shin, Inyong

1 p. 120-139
artikel
88 Litigation risk and financial leverage Malm, James
2015
1 p. 180-194
artikel
89 Macroeconomic influences on the stock market Hondroyiannis, George

1 p. 33-49
artikel
90 Mad Money stock recommendations: market reaction and performance Keasler, Terrill R.
2008
1 p. 1-22
artikel
91 Market efficiency, discount-rate changes, and stock returns: A long-term perspective Prather, Laurie

1 p. 56-63
artikel
92 Market undervaluation of risky convertible offerings: Evidence from the airline industry Guzhva, Vitaly S.
2007
1 p. 30-45
artikel
93 Mean and volatility transmission for commodity futures Grieb, Terrance
2012
1 p. 100-118
artikel
94 Migration and public policies: a further empirical analysis Cebula, Richard J.
2011
1 p. 238-248
artikel
95 Monetary policy, social capital, and corporate investment Kwon, Chad

1 p. 1-34
artikel
96 Mortgage loan securitization and personal consumption smoothening Gu, Jenny
2015
1 p. 100-115
artikel
97 Multifrequency network for SADC exchange rate markets using EEMD-based DCCA Adam, Anokye M.

1 p. 145-166
artikel
98 New insights about the relationship between corporate cash holdings and interest rates Stone, Anna-Leigh
2016
1 p. 33-65
artikel
99 News and noise: do investors react to stock split announcements differently during periods of high and low market volatility? Johnson, Steve
2009
1 p. 71-78
artikel
100 Nominal GDP targeting under learning Waters, George
2015
1 p. 153-159
artikel
101 Non-linear structures, chaos, and bubbles in U.S. regional housing markets Jirasakuldech, Benjamas

1 p. 63-93
artikel
102 Oil and equity: too deep into each other Delcoure, Natalya (Natasha)
2017
1 p. 89-111
artikel
103 Oil speculation and herding behavior in emerging stock markets Cakan, Esin
2018
1 p. 44-56
artikel
104 On the demand for smoking quitlines Goel, Rajeev K.
2014
1 p. 201-210
artikel
105 On the performance of Bank-managed mutual funds: Canadian evidence Hebb, Greg

1 p. 22-48
artikel
106 On the relation between exchange rates and stock prices: a non-linear ARDL approach and asymmetry analysis Bahmani-Oskooee, Mohsen
2017
1 p. 112-137
artikel
107 On understanding mutual fund terminations Bu, Qiang
2007
1 p. 80-99
artikel
108 OPEC and political considerations when deciding on oil extraction Kisswani, Khalid
2011
1 p. 96-118
artikel
109 Persistence and cyclical dependence in the monthly euribor rate Caporale, Guglielmo Maria
2014
1 p. 157-171
artikel
110 Policy on the margin: Evaluating the impact of margin debt requirements on stock valuations Weller, Christian E.

1 p. 1-15
artikel
111 Powerful CEOs and employee relations: evidence from corporate social responsibility indicators Wiggenhorn, Joan
2014
1 p. 85-104
artikel
112 Property-type diversification and REIT performance: an analysis of operating performance and abnormal returns Anderson, Randy I.
2012
1 p. 48-74
artikel
113 Publisher Correction: Is fund performance driven by flows into connected funds? spillover effects in the mutual fund industry Zhu, Bing

1 p. 267-268
artikel
114 Real estate prices and banking performance: evidence from Canada Killins, Robert N.

1 p. 78-98
artikel
115 Regional information and market efficiency: the case of spread betting in United States college football Kuester, Daniel D.
2009
1 p. 116-122
artikel
116 Relating economic infrastructure indexes to investor protection for selected emerging economies Niroomand, Farhang
2011
1 p. 249-260
artikel
117 Relation between Credit Default Swap Spreads and Stock Prices: A Non-linear Perspective Mateev, Miroslav
2017
1 p. 1-26
artikel
118 Revenue equivalence and income taxation Grimm, Veronika

1 p. 56-63
artikel
119 Revisiting the forward—spot relation: an application of the nonparametric long-run correlation coefficient Kanas, Angelos
2010
1 p. 148-161
artikel
120 Short selling restrictions in 2005–2009 in Indian market and underpricing of initial public offerings Gulati, Tanya
2015
1 p. 116-135
artikel
121 Similarities in fan preferences for minor-league baseball across the American Southeast Anthony, Tyler
2011
1 p. 150-163
artikel
122 Social health insurance in the Philippines: do the poor really benefit? El Omari, Salaheddine

1 p. 171-187
artikel
123 Social identity and schooling inequality Nissan, Edward
2010
1 p. 190-200
artikel
124 Some causes of interstate differences in community bank performance DePrince, Albert E.
2009
1 p. 22-40
artikel
125 Sources of real exchange rate movements in Saudi Arabia Aleisa, Eisa A.

1 p. 101-110
artikel
126 Sovereign debt: Reputation, seizure and reputation Levy, Amnon

1 p. 69-79
artikel
127 Specification errors of asset-pricing models for a market characterized by few large capitalization firms Virk, Nader Shahzad
2014
1 p. 68-84
artikel
128 Speculating on presidential success: exploring the link between the price–earnings ratio and approval ratings Wisniewski, Tomasz Piotr
2009
1 p. 106-122
artikel
129 Sportsbook pricing and the behavioral biases of bettors in the NHL Paul, Rodney J.
2009
1 p. 123-135
artikel
130 Stock and oil price returns in international markets: Identifying short and long-run effects Osah, Theophilus Teye

1 p. 116-141
artikel
131 Stock market reaction and adjustment speed to multiple announcements of accounting restatements Mun, Kyung-Chun

1 p. 22-67
artikel
132 Stock performance subsequent to combinations in quarterly revenue surprise, earnings surprise, guidance, valuation, and report time Alvarado, Jose I.

1 p. 95-117
artikel
133 Stock returns and volatility: Evidence from the Athens Stock market index Apergis, Nicholas

1 p. 50-61
artikel
134 Structural change in Asia, the real effective exchange rate, and agricultural productivity Grabowski, Richard

1 p. 198-210
artikel
135 Structural Change in the Investment Function Triplett, Russell E.

1 p. 220-236
artikel
136 Structural factors, global shocks and sovereign debt credit ratings Uribe-Teran, Carlos
2018
1 p. 104-126
artikel
137 The 180-day lock-up period and insiders’ equity selling Ayayi, Ayi

1 p. 32-45
artikel
138 The debt-equity financing decisions of U.S. startup firms Coleman, Susan
2014
1 p. 105-126
artikel
139 The effect of the Kyoto Protocol on carbon dioxide emissions Kumazawa, Risa
2010
1 p. 201-210
artikel
140 The effect of the U.S. federal income tax appraisal requirement on noncash charitable contributions for individuals Serocki, James S.
2013
1 p. 171-188
artikel
141 The effects of bank capital constraints on post-acquisition performance Brune, Chris
2012
1 p. 75-99
artikel
142 The effects of income and population demographics on single-county bank performance Cyree, Ken B.
2017
1 p. 174-190
artikel
143 The effects of stock splits on stock liquidity Huang, Gow-Cheng
2013
1 p. 119-135
artikel
144 The Fed’s TRAP Erler, Alexander
2011
1 p. 136-149
artikel
145 The flyover effect on IPO returns Mohan, Nancy
2018
1 p. 127-142
artikel
146 The great recession and changes in faculty expected retirement age Arano, Kathleen G.
2014
1 p. 127-136
artikel
147 The housing bubble in real-time: the end of innocence Peláez, Rolando F.
2010
1 p. 211-225
artikel
148 The impact of governance characteristics on the stock price of cross listed companies Chira, Inga
2011
1 p. 53-70
artikel
149 The impact of inflation rate on stock market returns: evidence from Kenya Otieno, Donald A.
2018
1 p. 73-90
artikel
150 The impact of policy uncertainty on the M&A exit of startup firms Cotei, Carmen

1 p. 99-120
artikel
151 The impact of the new real estate sector on REITs: an event study Fuller, Phillip
2018
1 p. 143-161
artikel
152 The influence of industry concentration on merger motives—empirical evidence from machinery industry mergers Geiger, Florian
2011
1 p. 27-52
artikel
153 The interaction of corporate dividend policy and capital structure decisions under differential tax regimes Ince, Ufuk
2009
1 p. 33-57
artikel
154 The level of African forex markets integration and Eurobond issue Mensah, Lord

1 p. 232-250
artikel
155 The location of initial public offering headquarters: An empirical examination Cichello, Michael
2014
1 p. 1-18
artikel
156 The long-term success of M&A in the automotive supply industry: determinants of capital market performance Laabs, Jan-Peer
2008
1 p. 61-88
artikel
157 The nexus between exchange rates and stock markets: evidence from the euro-dollar rate and composite European stock indices using rolling analysis Kollias, Christos
2010
1 p. 136-147
artikel
158 The no-arbitrage condition and financial markets with heterogeneous information Ardalan, Kavous

1 p. 87-99
artikel
159 The permanent income hypothesis in five major industrial countries: a multivariate trend-cycle decomposition test Shirvani, Hassan
2008
1 p. 43-59
artikel
160 The Predictive Power of Financial Stress on the Financial Markets Dynamics: Hidden Markov Model Soltani, Hayet

1 p. 94-115
artikel
161 The productivity and performance of Australia’s major banks since deregulation Abbott, Malcolm
2011
1 p. 122-135
artikel
162 The rise (or fall) of lottery adoption within the logic of collective action: Some empirical evidence Mixon, Franklin G.

1 p. 43-49
artikel
163 The role of the seller’s stock performance in the market reaction to divestiture announcements Nguyen, Pascal
2014
1 p. 19-40
artikel
164 The sub-prime mortgage crisis and the changing value of cash Adjei, Frederick
2009
1 p. 79-92
artikel
165 The transmission of international stock market volatilities Budd, Bruce Q.
2017
1 p. 155-173
artikel
166 The trilogy of economic policy uncertainty, earnings management and firm performance: empirical evidence from France Kahloul, Ines

1 p. 184-206
artikel
167 The value of the option to preserve farm real estate Stokes, Jeffrey R.
2010
1 p. 162-175
artikel
168 Time series analysis of Cryptocurrency returns and volatilities Malladi, Rama K.

1 p. 75-94
artikel
169 Uncertainty and risk premium puzzle Kim, Heeho
2011
1 p. 62-79
artikel
170 Understanding the determinants of sovereign debt ratings: Evidence for the two leading agencies Afonso, Antonio

1 p. 56-74
artikel
171 Validating empirically identified risk factors Pettengill, Glenn
2018
1 p. 162-179
artikel
172 Valuation uncertainty and IPOs: Investment bank versus commercial bank underwriters Hebb, Gregory M.

1 p. 68-87
artikel
173 Value stocks and market efficiency Best, Roger J.

1 p. 28-35
artikel
174 Volatility and dependence in energy markets Liu, Jinan

1 p. 15-37
artikel
175 Volatility of exchange rate futures and high-low price spreads Chen, An-Sing

1 p. 33-42
artikel
176 Weekly pattern in higher moments: An empirical test in Hong Kong stock market Tang, Gordon Y. N.

1 p. 51-59
artikel
177 Which implied volatility provides the best measure of future volatility? Wang, Guan Jun
2009
1 p. 93-105
artikel
                             177 gevonden resultaten
 
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