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                             36 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 Adaptive Traders and the Design of Financial Markets POUGET, SEBASTIEN
2007
6 p. 2835-2863
artikel
2 Analyst Coverage and Financing Decisions CHANG, XIN
2006
6 p. 3009-3048
artikel
3 A Theory of Pyramidal Ownership and Family Business Groups ALMEIDA, HEITOR V.
2006
6 p. 2637-2680
artikel
4 Back Matter 2006
6 p. vi-x
artikel
5 Back Matter 2007
6 p. v-xii
artikel
6 Bidding into the Red: A Model of Post-Auction Bankruptcy BOARD, SIMON
2007
6 p. 2695-2723
artikel
7 Can Mutual Fund “Stars” Really Pick Stocks? New Evidence from a Bootstrap Analysis KOSOWSKI, ROBERT
2006
6 p. 2551-2595
artikel
8 Derivative Pricing 60 Years before Black–Scholes: Evidence from the Johannesburg Stock Exchange MOORE, LYNDON
2006
6 p. 3069-3098
artikel
9 Does the Contribution of Corporate Cash Holdings and Dividends to Firm Value Depend on Governance? A Cross-country Analysis PINKOWITZ, LEE
2006
6 p. 2725-2751
artikel
10 Estimating the Gains from Trade in Limit-Order Markets HOLLIFIELD, BURTON
2006
6 p. 2753-2804
artikel
11 Front Matter 2007
6 p. i-iv
artikel
12 Front Matter 2006
6 p. i-v
artikel
13 Habit Formation and Macroeconomic Models of the Term Structure of Interest Rates BURASCHI, ANDREA
2007
6 p. 3009-3063
artikel
14 How Laws and Institutions Shape Financial Contracts: The Case of Bank Loans QIAN, JUN
2007
6 p. 2803-2834
artikel
15 How Smart Is Smart Money? A Two-Sided Matching Model of Venture Capital SØRENSEN, MORTEN
2007
6 p. 2725-2762
artikel
16 INDEX TO VOLUME LXI 2006
6 p. 3103-3110
artikel
17 INDEX TO VOLUME LXII 2007
6 p. 3071-3076
artikel
18 Information, Trading, and Volatility: Evidence from Weather-Sensitive Markets FLEMING, JEFF
2006
6 p. 2899-2930
artikel
19 Insider Trading, News Releases, and Ownership Concentration FIDRMUC, JANA P.
2006
6 p. 2931-2973
artikel
20 Is the Corporate Loan Market Globally Integrated? A Pricing Puzzle CAREY, MARK
2007
6 p. 2969-3007
artikel
21 Long-Term Return Reversals: Overreaction or Taxes? GEORGE, THOMAS J.
2007
6 p. 2865-2896
artikel
22 Measuring Distress Risk: The Effect of R&D Intensity FRANZEN, LAUREL A.
2007
6 p. 2931-2967
artikel
23 MISCELLANEA 2006
6 p. 3099-3100
artikel
24 MISCELLANEA 2007
6 p. 3065-3066
artikel
25 Model Uncertainty and Option Markets with Heterogeneous Beliefs BURASCHI, ANDREA
2006
6 p. 2841-2897
artikel
26 Optimal Security Design and Dynamic Capital Structure in a Continuous-Time Agency Model D eMARZO , PETER M.
2006
6 p. 2681-2724
artikel
27 Political Connections and Corporate Bailouts FACCIO, MARA
2006
6 p. 2597-2635
artikel
28 Security Design with Investor Private Information AXELSON, ULF
2007
6 p. 2587-2632
artikel
29 Strategic Actions and Credit Spreads: An Empirical Investigation DAVYDENKO, SERGEI A.
2007
6 p. 2633-2671
artikel
30 Tax-Loss Selling and the January Effect: Evidence from Municipal Bond Closed-End Funds STARKS, LAURA T.
2006
6 p. 3049-3067
artikel
31 The Risk-Adjusted Cost of Financial Distress ALMEIDA, HEITOR
2007
6 p. 2557-2586
artikel
32 The U.S. Treasury Buyback Auctions: The Cost of Retiring Illiquid Bonds HAN, BING
2007
6 p. 2673-2693
artikel
33 Trading Volume: Implications of an Intertemporal Capital Asset Pricing Model LO, ANDREW W.
2006
6 p. 2805-2840
artikel
34 U.S. Banking Deregulation, Small Businesses, and Interstate Insurance of Personal Income DEMYANYK, YULIYA
2007
6 p. 2763-2801
artikel
35 Vote Trading and Information Aggregation CHRISTOFFERSEN, SUSAN E.K.
2007
6 p. 2897-2929
artikel
36 When Financial Institutions Are Large Shareholders: The Role of Macro Corporate Governance Environments LI, DONGHUI
2006
6 p. 2975-3007
artikel
                             36 gevonden resultaten
 
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