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                             169 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 A Bayesian analysis of market information linkages among NAFTA countries using a multivariate stochastic volatility model Fleischer, Petra
2009
2 p. 123-148
artikel
2 Acquisitions of family owned firms: boon or bust? Gleason, Kimberly C.
2011
2 p. 269-286
artikel
3 A data envelopment analysis of gas utilities' efficiency Hollas, Daniel R.

2 p. 123-137
artikel
4 Adjustable consumption model for retirees to balance spending and risk Cobb, Barry R.

2 p. 420-451
artikel
5 Admitting mistakes pays: the long term impact of goodwill impairment write-offs on stock prices Cheng, Yingmei
2015
2 p. 311-329
artikel
6 African equity markets’ exposure to oil and other commodities - implications for global portfolio diversification Alagidede, Imhotep Paul

2 p. 288-315
artikel
7 A Kalman filter control technique in mean-variance portfolio management DiLellio, James
2012
2 p. 235-261
artikel
8 American art as an investment: new evidence from an alternative approach Skinner, Sarah J.
2018
2 p. 367-381
artikel
9 A model of promotion and relegation in league sports Jasina, John
2010
2 p. 303-318
artikel
10 An analysis of Australian exchange traded options and warrants Bertin, William J.
2008
2 p. 150-172
artikel
11 An empirical analysis of market and institutional mechanisms for alleviating information asymmetry in the municipal bond market Peng, Jun

2 p. 226-238
artikel
12 An empirical analysis of the Carbon Financial Instrument Sabbaghi, Omid
2011
2 p. 209-234
artikel
13 An empirical analysis of the Wall Street Journal’s SmartMoney fund screen Comer, George
2015
2 p. 380-401
artikel
14 An empirical investigation of COVID-19 effects on herding behaviour in USA and UK stock markets using a quantile regression approach Ampofo, Richard T.

2 p. 517-540
artikel
15 An empirical test of individual and institutional trading patterns in Japan, Hong Kong, and Taiwan Wang, Yung-Jang

2 p. 178-194
artikel
16 An examination of ex-ante factors and their influence on equity carve-out long-term performance Thompson, Thomas Hall
2011
2 p. 159-172
artikel
17 An examination of the performance and prospects for the future of internet-primary banks Cyree, Ken B.
2008
2 p. 128-147
artikel
18 An optimization model of retiree decisions under recursive utility with housing Aydilek, Asiye

2 p. 258-277
artikel
19 An uncertain suggestion for gold-pricing models: the effect of economic policy uncertainty on gold prices Jones, Adam T.
2014
2 p. 367-379
artikel
20 A panel data analysis for housing affordability in Taiwan Tsai, I-Chun
2010
2 p. 335-350
artikel
21 A private universal voucher program’s effects on traditional public schools Gray, Nathan L.
2014
2 p. 319-344
artikel
22 A road to assimilation: immigrants and financial markets Chatterjee, Swarnankur
2012
2 p. 345-358
artikel
23 A simple empirical investigation into the optimal size of the NGDP Target and Level targeting Murphy, Ryan H.
2016
2 p. 354-369
artikel
24 Assessing macro-prudential policies: the case of FX lending Sigmund, Michael

2 p. 316-359
artikel
25 Asymmetric Impact of Oil Price Changes on Stock Prices: Evidence from Country and Sectoral Level Data Saha, Sujata

2 p. 237-282
artikel
26 A vector-autoregression analysis of credit and liquidity factor dynamics in US LIBOR and Euribor swap markets Murphy, Finbarr
2010
2 p. 351-370
artikel
27 Bank capital, loan activity, and monetary policy: evidence from the FDIC’s Historical Statistics on Banking Orzechowski, Paul E.
2016
2 p. 392-407
artikel
28 Banking Competition and Bank Size: Some Evidence from Italy Coccorese, Paolo

2 p. 278-299
artikel
29 Bank lending – what has changed post crisis? Thia, Jang Ping
2018
2 p. 256-272
artikel
30 Bank performance before and after the subprime crisis: Evidence from pooled data on big US banks Calmès, Christian

2 p. 472-516
artikel
31 Bayesian Estimation of the Hierarchical SLX Model with an Application to Housing Markets Hall, Joshua C.

2 p. 360-373
artikel
32 Can country-specific interest rate factors explain the forward premium anomaly? Argyropoulos, Efthymios

2 p. 252-269
artikel
33 Can structural change explain the Meese-Rogoff puzzle? Mangee, Nicholas
2014
2 p. 211-234
artikel
34 Cash Holdings along the Supply Chain: The Downstream Evidence Chen, Fang

2 p. 452-471
artikel
35 CEO ownership, corporate control, and bank performance Griffith, John M.

2 p. 170-183
artikel
36 Convertibles and milestones in staged financing Wang, Lanfang
2008
2 p. 189-221
artikel
37 Corporate governance and employee treatment: evidence from takeover defenses Unsal, Omer

2 p. 361-391
artikel
38 Correction to: Corporate governance and employee treatment: Evidence from takeover defenses Unsal, Omer

2 p. 392-416
artikel
39 CO2, SO2 and economic growth: a cross-national panel study Coggin, T. Daniel

2 p. 437-457
artikel
40 Covariance estimation: do new methods outperform old ones? Liu, Lan
2009
2 p. 187-195
artikel
41 Cross-listing in the home market after going public in the U.S. Alhaj-Yaseen, Yaseen S.
2011
2 p. 274-292
artikel
42 Cross-market information spillover and the performance of technical trading in the foreign exchange market Chang, Yung-Ho
2018
2 p. 211-227
artikel
43 Daily momentum profits with firm characteristics and investors’ optimism in the Taiwan market Chang, Chiao-Yi
2011
2 p. 253-273
artikel
44 Dating structural changes: An illustration from financial deregulation Graddy, Duane B.

2 p. 155-163
artikel
45 Detecting speculative bubbles in an IT-intensive stock market Junttila, Juha

2 p. 166-189
artikel
46 Determinants of export diversification in Sub-Sahara African region: a fractionalized logit estimation model Fonchamnyo, Dobdinga Cletus
2016
2 p. 330-342
artikel
47 Determinants of the medium of payment used to acquire privately-held targets Madura, Jeff
2010
2 p. 424-442
artikel
48 Developments in non-expected utility theories: an empirical study of risk aversion Aissia, Dorsaf Ben
2014
2 p. 299-318
artikel
49 Differences of opinion and stock market volatility: evidence from a nonparametric causality-in-quantiles approach Balcilar, Mehmet
2017
2 p. 339-351
artikel
50 Dimensions of size and corruption perceptions versus corruption experiences by firms in emerging economies Goel, Rajeev K.

2 p. 374-396
artikel
51 Distribution of income and expenditures across nations Nissan, Edward
2009
2 p. 173-186
artikel
52 Dividend cuts and predictability Chen, Ruey-Shii
2017
2 p. 249-267
artikel
53 Do directional predictions of US gasoline prices reveal asymmetries? Baghestani, Hamid

2 p. 348-360
artikel
54 Does a CEO’s ability to hedge affect the firm’s payout policy? Dunham, Lee M.

2 p. 303-322
artikel
55 Does wall street affect main street? examining potential spillovers from investor stock market sentiment to personal consumption expenditures ZarBabal, KhasadYahu
2017
2 p. 293-314
artikel
56 Do hubris and the information environment explain the effect of acquirers’ size on their gains from acquisitions? Jansen, Ivo Ph.
2012
2 p. 211-234
artikel
57 Do MNCs spur financial markets in corrupt host countries? Bahmani-Oskooee, Mohsen
2011
2 p. 308-317
artikel
58 Do open-market stock repurchases convey firm-specific or industry-wide information? Evidence from REITs Huang, Gow-Cheng
2018
2 p. 382-397
artikel
59 Do shareholder rights influence managerial propensity to engage in earnings management? Small, Kenneth
2013
2 p. 308-326
artikel
60 Do Wall Street economists believe in Okun’s Law and the Taylor Rule? Mitchell, Karlyn
2009
2 p. 196-217
artikel
61 Drivers of intermediation costs, financial repression and stability Afrin, Sadia

2 p. 283-307
artikel
62 ECB’s unconventional monetary policy and bank lending supply and performance in the euro area Kenourgios, Dimitris

2 p. 211-224
artikel
63 Economic freedom and the mispricing of single-state municipal bond closed-end funds Jones, Samuel Kyle
2011
2 p. 173-187
artikel
64 Economic policy and the presidential election cycle in stock returns Sturm, Ray R.
2011
2 p. 200-215
artikel
65 Economic policy statements, social media, and stock market uncertainty: An analysis of Donald Trump’s tweets Ortiz, Daniel Perico

2 p. 333-367
artikel
66 Economic, welfare, demographic, and gender inequalities among selected Arab countries Nissan, Edward
2013
2 p. 396-411
artikel
67 Effect of COVID-19 on ETF and index efficiency: evidence from an entropy-based analysis Saha, Kunal

2 p. 347-359
artikel
68 Empirical analysis of term structure shifts Barber, Joel R.

2 p. 360-371
artikel
69 Entrenched management, capital structure changes and firm value Lundstrum, Leonard L.
2008
2 p. 161-175
artikel
70 Erratum to: RETRACTED ARTICLE: The role of circuit breakers in the oil futures market Apergis, Nicholas

2 p. 394
artikel
71 Erratum to: The interaction of corporate dividend policy and capital structure decisions under differential tax regimes Ince, Ufuk
2012
2 p. 520
artikel
72 Executive compensation and gender: S&P 1500 listed firms Vieito, João Paulo
2010
2 p. 371-399
artikel
73 Expectancy balance model for cash flow Melo, Marcos A. S.
2011
2 p. 240-252
artikel
74 Factors driving systemic risk of banks in Latin America Kleinow, Jacob
2015
2 p. 211-234
artikel
75 Family ties and informed trading: evidence from Capitol Hill Karadas, Serkan
2017
2 p. 211-248
artikel
76 Female representation in the boardroom and firm debt: empirical evidence from Italy Rossi, Fabrizio
2017
2 p. 315-338
artikel
77 Financial development, role of government, and bank profitability: evidence from the 2008 financial crisis Ting, Hsiu-I
2016
2 p. 370-391
artikel
78 Firm risk, investment, and employment growth Rosenberg, Matts M.

2 p. 164-184
artikel
79 Forecasting inflation in post-oil boom years: A case for regime switches? Ahmadov, Vugar
2017
2 p. 369-385
artikel
80 Forming appropriate peer groups for bank research: a cluster analysis of bank financial statements Cyree, Ken B.

2 p. 211-237
artikel
81 Freedom and gross in-migration: an empirical study of the post-great recession experience Cebula, Richard J.
2015
2 p. 402-420
artikel
82 Further evidence on the validity of purchasing power parity in selected African countries Gyamfi, E. N.
2018
2 p. 330-343
artikel
83 Hedge fund attributes, insider behavior, and IPO volatility Hull, Robert M.
2017
2 p. 268-292
artikel
84 Hedge funds versus private equity funds as shareholder activists in Germany — differences in value creation Mietzner, Mark
2011
2 p. 181-208
artikel
85 How do quotes and prices evolve around isolated informed trades? Inci, A. Can
2010
2 p. 499-519
artikel
86 Impact of futures’ trader types on stock market quality: evidence from Taiwan Lai, Ya-Wen

2 p. 417-436
artikel
87 Impact of green bond policies on insurers: evidence from the European equity market Jakubik, Petr

2 p. 381-393
artikel
88 Income convergence across the U.S. states: further evidence from new recent data Ram, Rati

2 p. 372-380
artikel
89 Informed trading, institutional trading, and spread Dey, Malay K.
2013
2 p. 288-307
artikel
90 Insider behavior and R&D changes around seasoned equity offerings Hull, Robert M.
2014
2 p. 258-276
artikel
91 Investigating the PPP hypothesis using constructed U.S. dollar equilibrium exchange rate misalignments over the post-bretton woods period Grossmann, Axel
2011
2 p. 235-268
artikel
92 Iranian inflation: peristence and structural breaks Gil-Alana, Luis A.
2018
2 p. 398-408
artikel
93 Is the flow-performance relationship really convex? - The impact of data treatment and model specification Schiller, Alexander

2 p. 300-320
artikel
94 Learning to trade on sentiment Wang, Cuiyuan

2 p. 308-323
artikel
95 Loan relation with foreign banks and information asymmetry: evidence from earnings management by local firms in Korea Lee, Sangwook
2018
2 p. 344-366
artikel
96 Long memory and structural breaks in hyperinflation countries Caporale, Guglielmo Maria

2 p. 136-152
artikel
97 Long memory in the Ukrainian stock market and financial crises Caporale, Guglielmo Maria
2014
2 p. 235-257
artikel
98 Long-term reactions to large stock price declines and increases in the European stock market: a note on market efficiency Himmelmann, Achim
2010
2 p. 400-423
artikel
99 Macroeconomic factors and firm’s cross-border merger and acquisitions Bany-Ariffin, A. N.
2014
2 p. 277-298
artikel
100 Macroeconomic sources of foreign exchange risk premium: evidence from South Africa Walley, Bernard Jagre
2013
2 p. 382-395
artikel
101 Monetary targeting in Sri Lanka: how much control does the central bank have over the money supply? Thenuwara, Wasanthi
2015
2 p. 276-296
artikel
102 Multiple reverse stock splits (investors beware!) Crutchley, Claire E.
2013
2 p. 357-369
artikel
103 Not paying dividends? A decomposition of the decline in dividend payers Chahyadi, Candra S.
2010
2 p. 443-462
artikel
104 Oil price uncertainty and climate risks Serletis, Apostolos

2 p. 323-332
artikel
105 Okun’s law: evidence of 13 selected developed countries Rahman, Matiur
2015
2 p. 297-310
artikel
106 On the accuracy of private forecasts of inflation and growth in Brazil Baghestani, Hamid
2013
2 p. 370-381
artikel
107 On the cointegration of international stock indices Fu, Richard
2010
2 p. 463-480
artikel
108 On the feasibility of monetary union among Gulf Cooperation Council (GCC) countries: does the symmetry of shocks extend to the non-oil sector? Jean Louis, Rosmy
2010
2 p. 319-334
artikel
109 On the financial characteristics of firms that initiated new dividends during a period of economic recession and financial market turmoil Payne, Bruce C.
2009
2 p. 149-163
artikel
110 Open interest, volume, and volatility: evidence from Taiwan futures markets Yen, Stéphane M.
2009
2 p. 113-141
artikel
111 Openness and the speed of adjustment in the money market Bahmani, Sahar
2009
2 p. 218-227
artikel
112 Output subsidies in mixed oligopoly with research spillovers Haruna, Shoji
2015
2 p. 235-256
artikel
113 People have the power: post IPO effects of intellectual capital disclosure Cardi, Cristiana
2018
2 p. 228-255
artikel
114 Predicting corporate financial distress: Reflections on choice-based sample bias Platt, Harlan D.

2 p. 184-199
artikel
115 Predicting the contribution of artificial intelligence to unemployment rates: an artificial neural network approach Mutascu, Mihai

2 p. 400-416
artikel
116 Price jumps in developed stock markets: the role of monetary policy committee meetings Gupta, Rangan
2018
2 p. 298-312
artikel
117 Productivity-conditioned market reaction of US Bank acquisitions during regulation-deregulation eras Al-Khasawneh, Jamal Ali

2 p. 368-385
artikel
118 Profitability of private equity: mean reversion and transitory shocks Gil-Alana, Luis Alberiko

2 p. 458-471
artikel
119 Public debt and economic growth: panel data evidence for Asian countries Asteriou, Dimitrios

2 p. 270-287
artikel
120 Quantification of political risk with multiple dependent sources Clark, Ephraim

2 p. 125-135
artikel
121 Regulation of data breach publication: the case of US healthcare and the HITECH act Bohn, Lorenz

2 p. 386-399
artikel
122 Relative importance of scheduled macroeconomic news for stock market investors Graham, Michael

2 p. 153-165
artikel
123 Remittances, market size, and foreign direct investment: a case of sub-Saharan Africa Amponsah, William A.

2 p. 238-257
artikel
124 RETRACTED ARTICLE: The role of circuit breakers in the oil futures market Apergis, Nicholas
2014
2 p. 420
artikel
125 Return and liquidity response to fraud and sec investigations Morris, Brandon C. L.
2018
2 p. 313-329
artikel
126 Revisiting the standard lease valuation model: new results Miles, James A.
2017
2 p. 409-420
artikel
127 Rising productivity of Australian trading banks under deregulation 1986–1995 Avkiran, Necmi K.

2 p. 122-140
artikel
128 Sarbanes-Oxley wealth effects: focus on technology firms Akhigbe, Aigbe
2009
2 p. 211-237
artikel
129 Schwab’s equity ratings: value added or old news? Sturm, Ray R.
2015
2 p. 257-275
artikel
130 Six decades of inflation and money demand Thompson, Alexi

2 p. 240-251
artikel
131 Social media sentiment and the stock market Fekrazad, Amir

2 p. 397-419
artikel
132 Specialization of state sectoral employment Nissan, Edward
2008
2 p. 148-160
artikel
133 Stochastic volatility model under a discrete mixture-of-normal specification Xu, Dinghai
2011
2 p. 216-239
artikel
134 Stock market return and volatility: day-of-the-week effect Berument, M. Hakan
2010
2 p. 282-302
artikel
135 Stock markets, banks and the sources of economic growth in low and high income countries Rioja, Felix
2011
2 p. 302-320
artikel
136 Stratification economics: The role of intergroup inequality Darity, William

2 p. 144-153
artikel
137 Subprime lending over time: the role of race Smith, Marvin M.
2011
2 p. 321-344
artikel
138 Tapping of the crowd: The effect of entrepreneur engagement on equity crowdfunding success Borchers, Sarah

2 p. 324-346
artikel
139 Teachers’ salaries and human capital, and their effects on academic performance: an institution-level analysis of Los Angeles County high schools Cebula, Richard J.
2013
2 p. 347-356
artikel
140 The causal relation between government revenue and spending: Evidence from Egypt and Jordan AbuAl-Foul, Bassam

2 p. 260-269
artikel
141 The day of the week effect on stock market volatility Berument, Hakan

2 p. 181-193
artikel
142 The demand for money in Angola Barros, C. P.
2016
2 p. 408-420
artikel
143 The determinants of business start-ups in tertiary education: evidence for Greece through a panel data approach Apergis, Nicholas
2011
2 p. 287-301
artikel
144 The differing efficiency experiences of banks leading up to the global financial crisis: A comparative empirical analysis from Australia, Canada and the UK Xiang, Dong
2013
2 p. 327-346
artikel
145 The effect of European integration on trade with the APEC countries: 1981–2000 Tang, Donny

2 p. 262-278
artikel
146 The effects of age, experience and managers upon baseball performance Demiralp, Berna
2010
2 p. 481-498
artikel
147 The effects of agglomeration on interregional hospital patient flow Munn, Johnathan G.
2013
2 p. 412-430
artikel
148 The effects of cash holdings on corporate performance during a credit crunch: evidence from the sub-prime mortgage crisis Adjei, Frederick
2011
2 p. 188-199
artikel
149 The exchange traded funds’ pricing deviation: analysis and forecasts DeFusco, Richard A.
2009
2 p. 181-197
artikel
150 The Feldstein–Horioka puzzle in Latin American and Caribbean countries: a panel cointegration analysis Vasudeva Murthy, N. R.
2008
2 p. 176-188
artikel
151 The fisher relationship in Nigeria Balparda, Borja
2016
2 p. 343-353
artikel
152 The impact of interest rate volatility on financial market inclusion: evidence from emerging markets Hajilee, Massomeh
2017
2 p. 352-368
artikel
153 The impact of international bribery on U.S. household stock investments Kuvvet, Emre
2018
2 p. 409-419
artikel
154 The impact of security concentration on adverse selection costs and liquidity: an examination of exchange traded funds Small, Kenneth
2009
2 p. 261-281
artikel
155 The intra-industry effects of proxy contests Chen, Fang

2 p. 321-347
artikel
156 The political economy of local fracking bans Hall, Joshua C.
2017
2 p. 397-408
artikel
157 The relation between the equity risk premium and the bond maturity premium in the UK: 1900–2006 Kanas, Angelos
2008
2 p. 111-127
artikel
158 The slowdown in trade: end of the “globalisation hype” and a return to normal?* Belke, Ansgar

2 p. 225-239
artikel
159 The true shadow price of foreign exchange Dusansky, Richard

2 p. 206-214
artikel
160 The value of tax benefits and the cost of liquidating versus selling failed thrift institutions Barth, James R.

2 p. 3-11
artikel
161 The wisdom of the few or the wisdom of the many? An indirect test of the marginal trader hypothesis Blackwell, Calvin
2009
2 p. 164-180
artikel
162 Timing of price clustering and trader behavior in the foreign exchange market: evidence from Taiwan Liu, Hao-Chen
2009
2 p. 198-210
artikel
163 Two-step acquisitions and liquidity spread Baxamusa, Mufaddal
2013
2 p. 262-287
artikel
164 Underpricing, partial price adjustments, and equity carve-outs Thompson, Thomas H.
2014
2 p. 345-366
artikel
165 Unemployment and compensating wages: an analysis of shift work DeBeaumont, Ronald
2009
2 p. 142-149
artikel
166 Using property rights to fight crime: the Khaya Lam project Lawson, Kerianne

2 p. 269-302
artikel
167 Utilitarian preference for redistribution: a concern with max-min Waters, George A.
2017
2 p. 386-396
artikel
168 Volatility, trade size, and order imbalance in China and Japan exchange traded funds Martinez, Valeria
2011
2 p. 293-307
artikel
169 Which immigrant and minority homeownership rates are gaining ground in the US? Chakrabarty, Durba
2018
2 p. 273-297
artikel
                             169 gevonden resultaten
 
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