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                             71 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 A Dynamic Competition Analysis of Stock Markets Hwang, Seong-Tae
2005
1 p. 1-25
artikel
2 An Empirical Analysis of the Off-Balance Sheet Activities of Indian Banks Nachane, D.M.
2007
1 p. 39-59
artikel
3 An Empirical Examination of IPO Underpricing Between High-technology and Non-high-technology Firms in Taiwan Gao, Simon
2019
1 p. 23-51
artikel
4 An Investigation of the Weak Form of the Efficient Markets Hypothesis for the Kuwait Stock Exchange Almujamed, Hesham I.
2018
1 p. 1-28
artikel
5 Applying Approximate Entropy (ApEn) to Speculative Bubble in the Stock Market Bhaduri, Saumitra N.
2014
1 p. 43-68
artikel
6 Are Competitive Rating Agencies Efficient? Mukhopadhyay, Bappaditya
2009
1 p. 67-85
artikel
7 Asymmetric Volatility in Emerging and Mature Markets Jayasuriya, Shamila
2009
1 p. 25-43
artikel
8 Asymmetry of Information in Emerging Markets: Should a Firm Issue its Securities Locally or Abroad? Martins, Nuno C.
2003
1 p. 1-40
artikel
9 Banking Regulation around the World Li, Tao
2007
1 p. 61-122
artikel
10 Bank Runs, Lender of Last Resort, Suspension of Convertibility, and Enabling Laws Singh, Gurbachan
2007
1 p. 123-144
artikel
11 Beta Instability of Firms: The Case of the Taiwan Stock Market During Its Financial Development Chiao, Chaoshin
2004
1 p. 37-61
artikel
12 Board Independence, Audit Quality and Earnings Management: Evidence from Egypt Khalil, Mohamed
2016
1 p. 84-118
artikel
13 Bond–Equity Yield Ratio Market Timing in Emerging Markets Dimic, Nebojsa
2019
1 p. 52-79
artikel
14 Calendar Anomalies in the Ghana Stock Exchange Alagidede, Paul
2009
1 p. 1-23
artikel
15 Capital Structure Decisions Under Micro Institutional Settings: The Case of Turkey Gonenc, Halit
2003
1 p. 57-82
artikel
16 Cointegration and Market Efficiency Sweeney, Richard J.
2003
1 p. 41-56
artikel
17 Corporate Governance and Dividends Payout in India Kumar, Jayesh
2006
1 p. 15-58
artikel
18 Default Risk Characteristics of Poll-Based Bond Spreads M., Jayadev
2010
1 p. 51-70
artikel
19 Development Financial Institutions, Financial Constraints and Growth: Evidence from the Indian Corporate Sector Bhandari, Laveesh
2003
1 p. 83-121
artikel
20 Diversification Opportunities through Fixed-income Managed Funds in Eastern Europe Grose, Chris
2013
1 p. 1-29
artikel
21 Do Foreign Institutional Investors Reward Transparency and Disclosure: Evidence from Istanbul Stock Exchange Ertuna, Bengi
2013
1 p. 31-57
artikel
22 Do Foreign Investors Cause Noise in an Emerging Stock Market? Nam, Doowoo
2004
1 p. 21-36
artikel
23 Do New Brooms Sweep Clean? Evidence that New CEOs Take a ‘Big Bath’ in the Banking Industry Shen, Chung-Hua
2019
1 p. 106-144
artikel
24 Effect of Central Bank Intervention in Estimating Exchange Rate Exposure: Evidence from an Emerging Market Sikarwar, Ekta
2018
1 p. 60-95
artikel
25 Empirical Modelling of Capital Structure Al-Najjar, Basil
2011
1 p. 1-19
artikel
26 Estimating Financial Conditions Index for India Khundrakpam, Jeevan Kumar
2017
1 p. 61-89
artikel
27 Financial Development, Internationalisation and Firm Value O’Connor, Thomas
2011
1 p. 21-71
artikel
28 Financial Performance Evaluation: A Structural Equation Approach Chaudhuri, Kausik
2012
1 p. 1-36
artikel
29 Financial Sector Reforms in Indonesia and South Korea in 1980s and Early 1990s Akimov, Alexandr
2010
1 p. 25-49
artikel
30 Financial Sectors Reform and Economic Growth in Morocco: An Empirical Analysis Yu, Jung-Suk
2014
1 p. 69-102
artikel
31 Foreign Investors and Global Integration of Emerging Indian Equity Market Poshakwale, Sunil S.
2010
1 p. 1-24
artikel
32 Franchise Values, Regulatory Monitoring, and Capital Requirements in Optimal Bank Regulation Andersen, Thomas Barnebeck
2008
1 p. 81-101
artikel
33 Fund Manager Performance in Emerging Market: Factor Specialisation and Financial Crisis Impact Galloppo, Giuseppe
2018
1 p. 130-158
artikel
34 Holy Days Effect on Istanbul Stock Exchange Oğuzsoy, Cemal Berk
2004
1 p. 63-75
artikel
35 How Underlying Dimensions of Political Risk Affect Excess Return in Emerging and Developed Markets Nesset, Ida Q.
2019
1 p. 80-105
artikel
36 Impact of Cash Dividend Announcements: Evidence from the Indian Manufacturing Companies Anwar, Sadaf
2017
1 p. 29-60
artikel
37 Influence of Foreign Institutional Investments (FIIs) on the Indian Stock Market: An Insight by VAR Models Vardhan, Harsh
2016
1 p. 49-83
artikel
38 Interest Rate Risk of Stock Prices in Nigeria: Empirical Test of the Duration and Convexity Model Udegbunam, Raphael I.
2012
1 p. 93-113
artikel
39 International Equity Market Integration Bhaduri, Saumitra N.
2009
1 p. 45-66
artikel
40 Intraday Periodicity and Volatility Forecasting: Evidence from Indian Crude Oil Futures Market Chakrabarti, B.B.
2017
1 p. 1-28
artikel
41 Market Efficiency in Emerging Stock Market Mobarek, Asma
2008
1 p. 17-41
artikel
42 Market Segmentation and Share Price Premium Chan, Kalok
2005
1 p. 43-61
artikel
43 Markov Switching International Capital Asset Pricing Model, an Emerging Market Case: Mexico Valencia-Herrera, Humberto
2018
1 p. 96-129
artikel
44 Monetary Integration in the European Union Ferreira, Paulo
2011
1 p. 93-120
artikel
45 Moon Phases, Mood and Stock Market Returns: International Evidence Floros, Christos
2013
1 p. 107-127
artikel
46 On the Asymmetric Effects of Exchange Rate Changes on the Demand for Money: Evidence from Emerging Economies Bahmani-Oskooee, Mohsen
2019
1 p. 1-22
artikel
47 On the Viability of Group Lending when Microfinance Meets the Market: A Reconsideration of the Besley––Coate Model Arnold, Lutz G.
2013
1 p. 59-106
artikel
48 Persistence in Mutual Funds in Latin American Emerging Markets Muga, Luis
2007
1 p. 1-37
artikel
49 Political Instability and Herding Behaviour: Evidence from Egypt’s Stock Market Mertzanis, Charilaos
2018
1 p. 29-59
artikel
50 Reforms, Ownership and Determinants of Efficiency: An Empirical Study of Commercial Banks in India Arora, Padmasai
2014
1 p. 103-138
artikel
51 Regional Integration of Stock Markets in MENA Countries Maghyereh, Aktham
2006
1 p. 59-94
artikel
52 Risk and Return in the Next Frontier Girard, Eric
2008
1 p. 43-80
artikel
53 Risk Return Trade-offs from Hedging Oil Price Risk in Ecuador Raju, Sudhakar S.
2005
1 p. 27-41
artikel
54 Size Anomaly on the Taiwan Stock Exchange Liao, Tung Liang
2005
1 p. 81-100
artikel
55 Stock Market in Pakistan: An Overview Iqbal, Javed
2012
1 p. 61-91
artikel
56 Subscription Rate and Volatility: An Investigation for Indian IPOs Sahoo, Seshadev
2015
1 p. 20-58
artikel
57 Term Premium and Long-range Dependence in Volatility: A FIGARCH-M Estimation on Some Asian Countries Lardic, Sandrine
2004
1 p. 1-19
artikel
58 Term Structure Estimation in Illiquid Government Bond Markets Dutta, Goutam
2005
1 p. 63-80
artikel
59 The Downside Risk and Equity Evaluation: Emerging Market Evidence Jianguo Chen,
2004
1 p. 77-93
artikel
60 The Effect of the Lebanese Peg to the US Dollar on Market Efficiency and Risk Azar, Samih Antoine
2008
1 p. 1-15
artikel
61 The Impact of Stock Index Futures on the Turkish Spot Market Çağlayan, Ebru
2011
1 p. 73-91
artikel
62 The Relationship between Indian Realty Stocks and Online Searches Das, Prashant
2015
1 p. 1-19
artikel
63 The Return Predictability and Market Efficiency of the KLSE CI Stock Index Futures Market Ford, J.L.
2012
1 p. 37-60
artikel
64 The Three Tenets of Monetary Policy Azar, Samih Antoine
2006
1 p. 95-120
artikel
65 Transmission of News in Eurozone Bank Holdings and European Bank Markets in the Light of the Greek Debt Crisis Koulakiotis, Athanasios
2016
1 p. 1-48
artikel
66 Turn of the Month and Turn of the Month Surrounding Days Effects in Istanbul Stock Exchange Oğuzsoy, Cemal Berk
2006
1 p. 1-13
artikel
67 Volatility in Indian Stock Markets Krishnan, R.
2010
1 p. 71-93
artikel
68 Weak-form Efficiency After Global Financial Crisis: Emerging Stock Market Evidence Emenike Kalu O.,
2017
1 p. 90-113
artikel
69 What Drives the Stock Market Return in India? An Exploration with Dynamic Factor Model Mukherjee, Paramita
2016
1 p. 119-145
artikel
70 What Influences Banks Lending in Sub-Saharan Africa? Amidu, Mohammed
2014
1 p. 1-42
artikel
71 Why do Firms Issue Equity?: Some Evidence from an Emerging Economy, India Bhaduri, Saumitra
2015
1 p. 59-85
artikel
                             71 gevonden resultaten
 
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