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                             12 results found
no title author magazine year volume issue page(s) type
1 Bank valuation and accounting discretion during a financial crisis Huizinga, Harry
2012
106 3 p. 614-634
21 p.
article
2 Currency momentum strategies Menkhoff, Lukas
2012
106 3 p. 660-684
25 p.
article
3 ‘Déjà vol’: Predictive regressions for aggregate stock market volatility using macroeconomic variables Paye, Bradley S.
2012
106 3 p. 527-546
20 p.
article
4 Dynamic jump intensities and risk premiums: Evidence from S&P500 returns and options Christoffersen, Peter
2012
106 3 p. 447-472
26 p.
article
5 Editorial Board 2012
106 3 p. IFC-
1 p.
article
6 Geographic dispersion and stock returns García, Diego
2012
106 3 p. 547-565
19 p.
article
7 Multifactor models and their consistency with the ICAPM Maio, Paulo
2012
106 3 p. 586-613
28 p.
article
8 Pinning in the S&P 500 futures Golez, Benjamin
2012
106 3 p. 566-585
20 p.
article
9 Stock option vesting conditions, CEO turnover, and myopic investment Laux, Volker
2012
106 3 p. 513-526
14 p.
article
10 Stock returns after major price shocks: The impact of information Savor, Pavel G.
2012
106 3 p. 635-659
25 p.
article
11 Technical trading revisited: False discoveries, persistence tests, and transaction costs Bajgrowicz, Pierre
2012
106 3 p. 473-491
19 p.
article
12 The market for new issues of municipal bonds: The roles of transparency and limited access to retail investors Schultz, Paul
2012
106 3 p. 492-512
21 p.
article
                             12 results found
 
 Koninklijke Bibliotheek - National Library of the Netherlands