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                             213 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 Absenteeism, seasonality, and the business cycle Audas, Rick
2001
4 p. 405-419
15 p.
artikel
2 A closer look at co-movements among stock returns Zebedee, Allan A.
2009
4 p. 279-294
16 p.
artikel
3 Across-discipline journal awareness and evaluation: Implications for the promotion and tenure process Henderson Jr., Glenn V.
1990
4 p. 325-351
27 p.
artikel
4 A few bad apples: An analysis of CEO performance pay and firm productivity Bulan, Laarni
2010
4 p. 273-306
34 p.
artikel
5 A framework for empirical applications of production theory without expected utility Appelbaum, Elie
2006
4 p. 290-302
13 p.
artikel
6 A logit methodology for predicting the imposition of exchange controls Safizadeh, Hossein
1991
4 p. 389-401
13 p.
artikel
7 A market index futures contract and portfolio selection Grant, Dwight
1982
4 p. 387-390
4 p.
artikel
8 A monetary approach to measuring long-run inflationary expectations Walter Elliot, J.
1987
4 p. 327-338
12 p.
artikel
9 A multiperiod evaluation of returns following seasoned equity offerings Bayless, M.
2008
4 p. 291-311
21 p.
artikel
10 A multiple adaptive wavelet recurrent neural network model to analyze crude oil prices Mingming, Tang
2012
4 p. 275-286
12 p.
artikel
11 An analysis of variance test for linearity of the two-parameter asset pricing model Klemkosky, Robert C.
1989
4 p. 265-282
18 p.
artikel
12 An examination of misclassifications with bank failure prediction models Looney, Stephen W.
1989
4 p. 327-336
10 p.
artikel
13 An examination of the performance of SEOs using a comparison period approach☆ 16 16 ☆ The authors gratefully acknowledge the helpful comments from Timothy W. Koch, session participants at the 1999 Eastern Finance Association Meeting, and two anonymous referees. Sharad Singhal, Rajeesh Talwar, Seema Nandwani, and Archana Sharma provided invaluable research assistance. Any errors in the paper are the sole responsibility of the authors. Bayless, Mark
2001
4 p. 359-386
28 p.
artikel
14 An intertemporal capital asset pricing model under heterogeneous beliefs Chen, Son-Nan
1986
4 p. 317-330
14 p.
artikel
15 A note on the demand for labor by firms and the Phillips curve phenomenon Booth, Laurence D.
1987
4 p. 349-356
8 p.
artikel
16 Application of production standards in complex organizations under uncertainty Ravid, S.A.
1986
4 p. 307-316
10 p.
artikel
17 A problem of discrete choice: Moody's municipal bond ratings Cluff, George S.
1985
4 p. 277-302
26 p.
artikel
18 A remark on competitive speculation under uncertainty Da Hsiang Donald Lien,
1990
4 p. 353-356
4 p.
artikel
19 Asset fungibility and equilibrium capital structures Viswanath, P.V.
1995
4 p. 319-334
16 p.
artikel
20 A stationary stochastic parameter model and OLS estimation of beta: A simulation study D'Souza, Rudolph E.
1986
4 p. 283-296
14 p.
artikel
21 A system of stock prices in world stock exchanges: Common stochastic trends for 1975–1990 Jeon, Bang Nam
1991
4 p. 329-338
10 p.
artikel
22 A tale of two audiences: Spectators, television viewers and outcome uncertainty in Spanish football Buraimo, Babatunde
2009
4 p. 326-338
13 p.
artikel
23 A time series analysis of aggregate business failure activity and credit conditions Melicher, Ronald W.
1988
4 p. 319-333
15 p.
artikel
24 Automatic adjustment clauses and allocative efficiency in public utilities Cowing, Thomas G.
1982
4 p. 317-329
13 p.
artikel
25 Bank profits, risk, and local market concentration Liang, Nellie
1989
4 p. 297-305
9 p.
artikel
26 Bank x-efficiency in Ukraine: An analysis of service characteristics and ownership Kyj, Larissa
2008
4 p. 369-393
25 p.
artikel
27 Bayesian and mixed estimators of time varying betas Chen, Son-Nan
1982
4 p. 291-301
11 p.
artikel
28 Big bank, small bank: Monetary policy implementation and banks’ reserve management strategies Judson, Ruth A.
2011
4 p. 306-328
23 p.
artikel
29 Bond returns and betas as dependent upon conditioned Brownian motion Stock, Duane
1990
4 p. 311-323
13 p.
artikel
30 Call for Papers: Special Issue 2007 " Corporate Ownership Structure " 2005
4 p. iii-iv
nvt p.
artikel
31 Call for papers special issue: “International banking and financial markets” 1994
4 p. 235-
1 p.
artikel
32 Capital market efficiency and the relationship between equity returns, interest rates, and monetary aggregates in Australia Hogan, W.P.
1982
4 p. 377-385
9 p.
artikel
33 Cause and effects of poison pill adoptions by spinoff units Harris, Oneil
2010
4 p. 307-330
24 p.
artikel
34 Changing input costs in competitive markets with variable quality Raymon, Neil
1984
4 p. 403-413
11 p.
artikel
35 Codetermination and enterprise performance: Empirical evidence from West Germany Gurdon, Michael A.
1990
4 p. 289-302
14 p.
artikel
36 Commercial bank stocks, interest rates, and systematic risk Booth, James R.
1985
4 p. 303-310
8 p.
artikel
37 Commission deregulation and performance of securities firms: Further evidence from Japan Liu, Shinhua
2008
4 p. 355-368
14 p.
artikel
38 Commodity prices, money and inflation Browne, Frank
2010
4 p. 331-345
15 p.
artikel
39 Constraints on transactions in the futures markets for output and inputs Fishelson, Gideon
1984
4 p. 415-420
6 p.
artikel
40 Corporate profits and social responsibility: “Subsidization” of corporate income under charitable giving tax laws Webb, Natalie J.
1996
4 p. 401-421
21 p.
artikel
41 Country-fund discounts and risk: Evidence from stock market volatility and macroeconomic volatility Chiang, Thomas C.
2006
4 p. 303-322
20 p.
artikel
42 Cournot oligopoly and systematic risk Kit Pong Wong,
1995
4 p. 385-395
11 p.
artikel
43 Currency demand by federal reserve cash office: what do we know? Judson, Ruth A
2004
4 p. 273-285
13 p.
artikel
44 Degree of competition in the Japanese securities industry Tsutsui, Yoshiro
2005
4 p. 360-374
15 p.
artikel
45 Demand and supply of forward exchange contracts under incomplete information Dufey, Gunter
1991
4 p. 339-352
14 p.
artikel
46 Determinants of CEO severance contracts and their components and the effects of severance contracts on executive turnover Van Dalsem, Shane
2010
4 p. 257-272
16 p.
artikel
47 Did branch banking restrictions increase bank failures? Evidence from Virginia and West Virginia in the late 1920s Ramı́rez, Carlos D.
2003
4 p. 331-352
22 p.
artikel
48 Disclosure, Transparency and Market Microstructure 2004
4 p. 243-244
2 p.
artikel
49 Discount rate policy and alternative Federal Reserve operating procedures in a rational expectations setting VanHoose, David D.
1988
4 p. 285-294
10 p.
artikel
50 Do budget deficits matter? Some pre-world war II evidence McMillin, W.Douglas
1988
4 p. 295-308
14 p.
artikel
51 Does government debt affect the exchange rate? An empirical analysis of the U.S.—Canadian exchange rate Douglas McMillin, W.
1990
4 p. 279-288
10 p.
artikel
52 Dominant firms, “deep pockets,” and local market competition in banking Hanweck, Gerald A.
1984
4 p. 391-402
12 p.
artikel
53 Econometric tests of firm decision making under dual sources of uncertainty Satyanarayan, Sudhakar
1999
4 p. 315-325
11 p.
artikel
54 Economic effects of first generation state antitakeover statutes on target firm shareholders Turk, Thomas A.
1994
4 p. 325-334
10 p.
artikel
55 Editorial Board 2010
4 p. CO2-
1 p.
artikel
56 Editorial Board 2009
4 p. CO2-
1 p.
artikel
57 Editorial Board 2006
4 p. CO2-
1 p.
artikel
58 Editorial Board 2008
4 p. CO2-
1 p.
artikel
59 Editorial Board 2007
4 p. CO2-
1 p.
artikel
60 Editorial Board 2011
4 p. CO2-
1 p.
artikel
61 Editorial Board 2012
4 p. CO2-
1 p.
artikel
62 Editor's acknowledgements 1985
4 p. 379-382
4 p.
artikel
63 Editor's acknowledgements 1984
4 p. 453-454
2 p.
artikel
64 Editors' acknowledgements 1987
4 p. 373-374
2 p.
artikel
65 Editor's acknowledgments 1986
4 p. 361-
1 p.
artikel
66 Editor's acknowledgments 1988
4 p. 343-
1 p.
artikel
67 Effect of exchange rate and interest rate risk on international fixed-income portfolios Hauser, Shmuel
1991
4 p. 375-388
14 p.
artikel
68 Efficient two-part tariffs with uncertainty and interdependent demand Shaffer, Sherrill
1992
4 p. 325-334
10 p.
artikel
69 Emperical analysis of short-term eurocurrency rates: Evidence from a transfer function error correction model Chiang, Thomas C.
1995
4 p. 335-351
17 p.
artikel
70 Estimating demand elasticities in a differentiated product industry: The personal computer market Stavins, Joanna
1997
4 p. 347-367
21 p.
artikel
71 Exchange risk and international diversification in bond and equity portfolios Kaplanis, Evi
1991
4 p. 287-307
21 p.
artikel
72 Executive share ownership, trading behavior, and corporate control: Evidence from top management turnover during financial distress Iqbal, Zahid
2007
4 p. 298-312
15 p.
artikel
73 Federal Reserve and private forecasts of growth in investment Baghestani, Hamid
2011
4 p. 290-305
16 p.
artikel
74 Firm-level internationalisation and the home bias puzzle Berrill, Jenny
2010
4 p. 235-256
22 p.
artikel
75 Forecast errors before and during the Great Moderation Gamber, Edward N.
2011
4 p. 278-289
12 p.
artikel
76 Foreign exchange derivatives, exchange rate changes, and the value of the firm: U.S. multinationals’ use of short-term financial instruments to manage currency risk Makar, Stephen D.
2001
4 p. 421-437
17 p.
artikel
77 Foreign exchange market liberalization and the international diversification of borrowing by Italian firms Giraldi, Claudio
1991
4 p. 309-327
19 p.
artikel
78 Forthcoming Papers 2002
4 p. 463-
1 p.
artikel
79 Forthcoming papers 1997
4 p. 393-
1 p.
artikel
80 General conditions for subsidy-free prices Jamison, Mark A.
1996
4 p. 371-385
15 p.
artikel
81 Geographic diversification and risk in banking Liang, Nellie
1988
4 p. 271-284
14 p.
artikel
82 Geographic integration of bank deposit markets and restrictions on interstate banking: A cointegration approach Jackson III, William E.
1997
4 p. 335-346
12 p.
artikel
83 Globalization of financial markets: Introduction Eun, Cheol S.
1991
4 p. 283-285
3 p.
artikel
84 Has bank holding companies' diversification affected their risk of failure? Wall, Larry D.
1987
4 p. 313-326
14 p.
artikel
85 Human capital and financial equilibrium Landskroner, Yoran
1984
4 p. 443-452
10 p.
artikel
86 Human capital investments in asymmetric corporate tournaments Jost, Peter-J.
2008
4 p. 312-331
20 p.
artikel
87 Hypothesis testing in event studies: The case of variance changes Giaccotto, Carmelo
1996
4 p. 349-370
22 p.
artikel
88 Identifying failing companies: a re-evaluation of the logit, probit and DA approaches Lennox, Clive
1999
4 p. 347-364
18 p.
artikel
89 IFC 2005
4 p. CO2-
1 p.
artikel
90 IFC 2004
4 p. IFC-
1 p.
artikel
91 Illustrations of financing and tax transfers in owner financed real estate sales Ang, James
1987
4 p. 363-372
10 p.
artikel
92 Impact of industry characteristics on the method of payment in mergers García-Feijóo, Luis
2012
4 p. 261-274
14 p.
artikel
93 Increasing liquidity and the declining informational content of the paper-bill spread Ferderer, J.Peter
1998
4 p. 361-377
17 p.
artikel
94 Inflation and stock returns: An industry analysis VanderHoff, James
1986
4 p. 341-352
12 p.
artikel
95 Insolvency and economic development: Regional variation and adjustment Fabling, Richard
2005
4 p. 339-359
21 p.
artikel
96 International diversification and hedging: A Japanese and U.S. perspective Eaker, Mark
1991
4 p. 363-374
12 p.
artikel
97 Intertrack wagering and the demand for parimutuel horse racing Thalheimer, Richard
1995
4 p. 369-383
15 p.
artikel
98 Issue size and term-structure segmentation effects on regional yield differentials in the municipal bond market Kidwell, David S.
1987
4 p. 339-347
9 p.
artikel
99 Learning, experience, and firm size Stefanou, Spiro E.
1989
4 p. 283-296
14 p.
artikel
100 Letter to the readership Kopecky, Kenneth J.
1994
4 p. 237-
1 p.
artikel
101 Loan-loss provisions of commercial banks and adequate disclosure: A note Wetmore, Jill L.
1994
4 p. 299-305
7 p.
artikel
102 Long-run implications of industrial bond ratings as risk surrogates Peavy III, John W.
1982
4 p. 331-341
11 p.
artikel
103 Market efficiency and cointegration of spot exchange rates during periods of economic turmoil: Another look at European and Asian currency crises Phengpis, Chanwit
2006
4 p. 323-342
20 p.
artikel
104 Market share as a source of market power: Implications and some evidence Rhoades, Stephen A.
1985
4 p. 343-363
21 p.
artikel
105 Market structure and price adjustment in Canadian manufacturing industries Kardasz, Stanley W.
1988
4 p. 335-342
8 p.
artikel
106 Measuring provisions for collateralised retail lending Hui, C.H.
2006
4 p. 343-361
19 p.
artikel
107 Mergers and bankruptcy costs Yagil, Joseph
1989
4 p. 307-315
9 p.
artikel
108 Monetary and exchange rate policy in multisectoral economies Ahmed, Habib
1997
4 p. 321-334
14 p.
artikel
109 Monetary policy and bank portfolios McMillin, W.Douglas
1996
4 p. 315-335
21 p.
artikel
110 Monetary policy and bond option pricing in an analytical RBC model Söderlind, Paul
2003
4 p. 321-330
10 p.
artikel
111 Monetary policy centralization, rules, discretion, and conservative central bankers in the European Monetary System (EMS) VanHoose, David D.
1992
4 p. 247-263
17 p.
artikel
112 Monetary rules and stock market value Boyle, Glenn W
1999
4 p. 365-372
8 p.
artikel
113 Money and in comerelationships in the United Kingdom: Some new evidence Barnhart, Scott W.
1994
4 p. 255-267
13 p.
artikel
114 Multibank holding company activity and local market structure: Some implications for intra- and interstate banking Hooks, Donald L.
1985
4 p. 327-341
15 p.
artikel
115 Mutual fund objective misclassification Kim, Moon
2000
4 p. 309-323
15 p.
artikel
116 Narrow money and transaction technology: New disaggregated evidence Columba, Francesco
2009
4 p. 312-325
14 p.
artikel
117 Negligence versus strict liability in a principal—Agent model Newman, Harry A.
1992
4 p. 265-281
17 p.
artikel
118 Nontraditional activities and bank efficiency revisited: a distributional analysis for Spanish financial institutions Tortosa-Ausina, Emili
2003
4 p. 371-395
25 p.
artikel
119 On the application of optimal control theory to financial planning and forecasting Vasconcellos, Geraldo M.
1988
4 p. 309-318
10 p.
artikel
120 On the behavior of a noncompetitive firm when the supplies of inputs are random Fishelson, Gideon
1986
4 p. 331-339
9 p.
artikel
121 On-the-job training, layoff by inverse seniority, and the incidence of unemployment Reagan, Patricia B.
1992
4 p. 317-324
8 p.
artikel
122 On the use and nonuse of entry deterrents Horowitz, Ira
1984
4 p. 371-389
19 p.
artikel
123 On the use of profit data to estimate the social cost of monopoly power in an oligopoly Holt Jr., Charles A.
1982
4 p. 283-289
7 p.
artikel
124 Optimal dynamic behavior of a market maker in choosing bid and asked prices Bradfield, James
1982
4 p. 303-315
13 p.
artikel
125 Optimal monetary and exchange rate policy with a two-tier exchange rate Benavie, Arthur
1992
4 p. 283-300
18 p.
artikel
126 Optimal monetary policy in a multisector economy with an economywide money market Duca, John V.
1990
4 p. 253-263
11 p.
artikel
127 Output-inflation tradeoffs in 34 countries Addison, John T.
1986
4 p. 353-360
8 p.
artikel
128 Output, price, and welfare under nonlinear pricing in an imperfectly competitive industry Cheung, Francis K.
1995
4 p. 353-367
15 p.
artikel
129 Outside directors, board interlocks and firm performance: Empirical evidence from Colombian business groups Pombo, Carlos
2011
4 p. 251-277
27 p.
artikel
130 Patterns of competition in banking Shaffer, Sherrill
2004
4 p. 287-313
27 p.
artikel
131 Personal taxes, holding period, and the valuation of growth stocks Chiang, Raymond
1990
4 p. 303-309
7 p.
artikel
132 Political pressures and the choice of the optimal monetary policy instrument Cover, James P.
2000
4 p. 325-341
17 p.
artikel
133 Predicting corporate bankruptcy and financial distress: Information value added by multinomial logit models Johnsen, Thomajean
1994
4 p. 269-286
18 p.
artikel
134 Predicting large US commercial bank failures Kolari, James
2002
4 p. 361-387
27 p.
artikel
135 Price inertia and policy ineffectiveness in the United States, 1890–1984: A reappraisal Siklos, P.L.
1990
4 p. 265-277
13 p.
artikel
136 Pricing, price dispersion, and information: The discount brokerage industry Mitchell, William E.
1986
4 p. 273-282
10 p.
artikel
137 Production costs for consolidated multibank holding companies compared to one-bank organizational forms Rangan, Nanda
1989
4 p. 317-325
9 p.
artikel
138 Properly estimating the liquidity effect: why accounting for stationarity and outliers is important Guirguis, Hany S
1999
4 p. 303-314
12 p.
artikel
139 Public policy and market power in the rayon industry Gallet, Craig A.
1997
4 p. 369-377
9 p.
artikel
140 Real wages and aggregate demand shocks: contradictory evidence from VARs Lastrapes, William D.
2002
4 p. 389-413
25 p.
artikel
141 Recent developments in understanding the demand for money Duca, John V
2004
4 p. 247-272
26 p.
artikel
142 Regional foreign direct investment potential of the states within the US Kandogan, Yener
2012
4 p. 306-322
17 p.
artikel
143 Regularity and diversity in firm size distributions in U.S. industries Kwoka Jr., John E.
1982
4 p. 391-395
5 p.
artikel
144 Relationship between bank holding company risk and nonbank activity Brewer III, Elijah
1989
4 p. 337-353
17 p.
artikel
145 Relationship between hospital capital expenditures and operating costs Dunkelberg, John S.
1984
4 p. 433-442
10 p.
artikel
146 Relationship lending: a survey of the literature Elyasiani, Elyas
2004
4 p. 315-330
16 p.
artikel
147 Research perspectives Kopecky, Kenneth J
2004
4 p. 245-246
2 p.
artikel
148 Residential investment, macroeconomic activity and financial deregulation in the UK: an empirical investigation Hasan, Mohammad S
2002
4 p. 447-462
16 p.
artikel
149 Reviewers July 1, 1995–December 31, 1995 1996
4 p. 423-424
2 p.
artikel
150 Reviewers October 1, 1996–December 31, 1996 1997
4 p. 395-
1 p.
artikel
151 Risk, return, and equilibrium in the emerging markets: Evidence from the Korean stock market Bark, Hee-Kyung K.
1991
4 p. 353-362
10 p.
artikel
152 Risk-taking behaviour and ownership in the banking industry: The Spanish evidence García-Marco, Teresa
2008
4 p. 332-354
23 p.
artikel
153 SBA default rates Grimshaw, Alan
1982
4 p. 343-348
6 p.
artikel
154 Short-term price reversals following major price innovations: Additional evidence on market overreaction Ketcher, David N.
1994
4 p. 307-323
17 p.
artikel
155 Size (of the product) matters Reggiani, Carlo
2011
4 p. 329-344
16 p.
artikel
156 Some new results on interest rate rules in EMU and in the US Doménech, Rafael
2002
4 p. 431-446
16 p.
artikel
157 Special issue: “Credit risk: Measurement, management, pricing, and regulation” 1996
4 p. 313-
1 p.
artikel
158 Speculative activity and stock market volatility Chatrath, Arjun
1998
4 p. 323-337
15 p.
artikel
159 Start-up financing, owner characteristics, and survival Åstebro, Thomas
2003
4 p. 303-319
17 p.
artikel
160 Statistical methods for bankruptcy forecasting Collins, Robert A.
1982
4 p. 349-354
6 p.
artikel
161 Subordinated debt prices and forward-looking estimates of bank asset volatility Schellhorn, Carolin D.
1996
4 p. 337-347
11 p.
artikel
162 Subsistence consumption, habit formation and the demand for long-term bonds Weinbaum, David
2005
4 p. 273-287
15 p.
artikel
163 Suitable policy instruments for monetary rules Thornton, Saranna R.
1998
4 p. 379-397
19 p.
artikel
164 Sweep accounts, reserve management, and interest rate volatility 1 1 We are very grateful to Gordon Sellon for providing us with the data necessary for our empirical work and to Bruce Costa and Mark Popiela for their research assistance. In addition, the paper has benefited from comments we have received from Paul Bennett, James Clouse, Thomas Cosimano, Spence Hilton, Kenneth Kopecky, William Roberds, two referees, and participants in a session on “Monetary Policy without Statutory Reserve Requirements,” organized by Richard Anderson and held at the July 1997 Western Economic Association meetings. VanHoose, David D.
2001
4 p. 387-404
18 p.
artikel
165 Tax rate changes and the long-run equilibrium relationship between taxable and tax-exempt interest rates Chittenden, William T.
1999
4 p. 327-346
20 p.
artikel
166 Technology licensing partners Kim, YoungJun
2006
4 p. 273-289
17 p.
artikel
167 Testing for the functional form of labor-demand equations: The textile industry Hsing, Yu
1989
4 p. 355-364
10 p.
artikel
168 TFP change, output gap and inflation in the Russian Federation (1994–2006) Michaelides, Panayotis
2009
4 p. 339-352
14 p.
artikel
169 The bond rate and estimated monetary policy rules Mehra, Yash P
2001
4 p. 345-358
14 p.
artikel
170 The changing impact of employment announcements on interest rates Kearney, Adrienne A
2002
4 p. 415-429
15 p.
artikel
171 The cyclical effect of default risk on industrial bond yields Kolari, James W.
1985
4 p. 311-325
15 p.
artikel
172 The decision to rate or not to rate: The case of municipal bonds Ziebell, Mary T.
1992
4 p. 301-316
16 p.
artikel
173 The demand for risky assets under uncertain inflation Keith Womer, Norman
1987
4 p. 357-362
6 p.
artikel
174 The determinants of occupational mobility patterns among blue-collar jobs Dauffenbach, Robert C.
1982
4 p. 367-375
9 p.
artikel
175 The economic advantage of least squares learning in a risky asset market Linn, Scott C.
1997
4 p. 303-319
17 p.
artikel
176 The economics of factoring accounts receivable Sopranzetti, Ben J.
1998
4 p. 339-359
21 p.
artikel
177 The effect of economic regimes on the relation between term structure and real activity in Japan Kim, Kenneth A.
1997
4 p. 379-392
14 p.
artikel
178 The effect of the Gramm-Leach-Bliley Act on the insurance industry Neale, Faith R.
2005
4 p. 317-338
22 p.
artikel
179 The efficiency of certain speculative markets and gambler behavior Amoako-Adu, Ben
1985
4 p. 365-378
14 p.
artikel
180 The erosion of the Glass–Steagall Act: Cyree, Ken B.
2000
4 p. 343-363
21 p.
artikel
181 The Financial Services Modernization Act: Evolution or Revolution? Yeager, Timothy J.
2007
4 p. 313-339
27 p.
artikel
182 The growth and performance of franchise systems: Company versus franchisee ownership Anderson, Evan E.
1984
4 p. 421-431
11 p.
artikel
183 The home field advantage revisited: a search for the bias in other sports betting markets Gandar, John M
2001
4 p. 439-453
15 p.
artikel
184 The home team weather advantage and biases in the NFL betting market Borghesi, Richard
2007
4 p. 340-354
15 p.
artikel
185 The impact of bank holding companies on local market rivalry and performance Rhoades, Stephen A.
1982
4 p. 355-365
11 p.
artikel
186 The impact of mergers in banking Rose, Peter S.
1987
4 p. 289-312
24 p.
artikel
187 The leverage–value relationship puzzle: An industry effects resolution Aggarwal, Raj
2007
4 p. 286-297
12 p.
artikel
188 The linkage between the firm's financing decisions and real market performance: A panel study of Indian corporate sector Bandyopadhyay, Arindam
2005
4 p. 288-316
29 p.
artikel
189 The long run money demand function in the united kingdom: Stable or unstable? Choudhry, Taufiq
1992
4 p. 335-344
10 p.
artikel
190 The post-dual listing anomaly Kent Baker, H.
1994
4 p. 287-297
11 p.
artikel
191 The relationship between incentive compensation and performance related CEO turnover Chakraborty, Atreya
2009
4 p. 295-311
17 p.
artikel
192 The value of active portfolio management Shukla, Ravi
2004
4 p. 331-346
16 p.
artikel
193 Tobin's Q, intangible capital, and financial policy Klock, Mark
1996
4 p. 387-400
14 p.
artikel
194 Tobin’s q, managerial ownership, and analyst coverage Chen, Carl R.
2000
4 p. 365-382
18 p.
artikel
195 UK inflation in the 1970s and 1980s: the role of output gap mismeasurement Nelson, Edward
2003
4 p. 353-370
18 p.
artikel
196 Uncertainty and volatility in stock prices Ackert, Lucy F.
1994
4 p. 239-253
15 p.
artikel
197 Using the user cost Downs, Thomas W.
1986
4 p. 297-305
9 p.
artikel
198 Volatility persistence in metal returns: A FIGARCH approach Cochran, Steven J.
2012
4 p. 287-305
19 p.
artikel
199 Volume 44 author index 1992
4 p. 345-
1 p.
artikel
200 Volume 43 author index 1991
4 p. 403-
1 p.
artikel
201 Volume 43 contents 1991
4 p. i-ii
nvt p.
artikel
202 Volume 44 contents 1992
4 p. I-
1 p.
artikel
203 Volume 34 index 1982
4 p. 397-398
2 p.
artikel
204 Volume 41 index 1989
4 p. 365-366
2 p.
artikel
205 Volume 38 index 1986
4 p. 363-364
2 p.
artikel
206 Volume 37 index 1985
4 p. 383-384
2 p.
artikel
207 Volume 40 index 1988
4 p. 345-346
2 p.
artikel
208 Volume 39 index 1987
4 p. 375-376
2 p.
artikel
209 Volume 36 index 1984
4 p. 455-456
2 p.
artikel
210 Volume 42 index 1990
4 p. 357-358
2 p.
artikel
211 Volume 43 subject index 1991
4 p. 405-406
2 p.
artikel
212 Volume 44 subject index 1992
4 p. 347-
1 p.
artikel
213 Voluntary (environmental) standards Wirl, Franz
2007
4 p. 275-285
11 p.
artikel
                             213 gevonden resultaten
 
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