Digitale Bibliotheek
Sluiten Bladeren door artikelen uit een tijdschrift
     Tijdschrift beschrijving
       Alle jaargangen van het bijbehorende tijdschrift
         Alle afleveringen van het bijbehorende jaargang
                                       Alle artikelen van de bijbehorende aflevering
 
                             62 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 Additions to and deletions from the S&P 500 index: A resolution to the asymmetric price response puzzle Kumar, Rajnish

154 C p.
artikel
2 A test of the Modigliani-Miller theorem, dividend policy and algorithmic arbitrage in experimental asset markets Neugebauer, Tibor

154 C p.
artikel
3 Bank competition and corporate employment: Evidence from the geographic distribution of bank branches in China Lai, Shaojie

154 C p.
artikel
4 Banking across borders: Are Chinese banks different? Cerutti, Eugenio

154 C p.
artikel
5 Banks, credit supply, and the life cycle of firms: Evidence from late nineteenth century Japan Tang, John P.

154 C p.
artikel
6 Banks, non-banks, and the incorporation of local information in CMBS loan pricing Eichholtz, Piet

154 C p.
artikel
7 Behavioral bias, distorted stock prices, and stock splits Li, Fengfei

154 C p.
artikel
8 Biased risk perceptions: Evidence from the laboratory and financial markets Payzan-LeNestour, Elise

154 C p.
artikel
9 Canonical portfolios: Optimal asset and signal combination Firoozye, Nikan

154 C p.
artikel
10 CEO performance impact on medical leave outcomes Cook, Douglas O.

154 C p.
artikel
11 Competition, investment reversibility, and equity risk premium Zhang, Zhou

154 C p.
artikel
12 Consistency of banks' internal probability of default estimates: Empirical evidence from the COVID-19 crisis Stepankova, Barbora

154 C p.
artikel
13 Corrigendum to ‘The effect of supply chain power on bank financing' [Journal of Banking and Finance 114 (2020) 105801] Rahaman, Mohammad M.

154 C p.
artikel
14 Cost of credit, mortgage demand and house prices Akgündüz, Yusuf Emre

154 C p.
artikel
15 Countercyclical capital buffers and credit supply: Evidence from the COVID-19 crisis Dursun-de Neef, H. Özlem

154 C p.
artikel
16 Count on subordinate executives: Internal governance and innovation Gao, Lei

154 C p.
artikel
17 Cross-asset time-series momentum: Crude oil volatility and global stock markets Fernandez-Perez, Adrian

154 C p.
artikel
18 Customer concentration and stock liquidity Do, Trung K.

154 C p.
artikel
19 Deferred pay: Compliance and productivity with self-selection Sheedy, Elizabeth

154 C p.
artikel
20 Dimensions of national culture and R2 around the world Fetherolf, Raylin

154 C p.
artikel
21 Does public corruption affect analyst forecast quality? El Ghoul, Sadok

154 C p.
artikel
22 Do Hedge Funds Value Sell-Side Analysts Differently? Chen, Haosi (Chelsea)

154 C p.
artikel
23 Do professional ties enhance board seat prospects of independent directors with tainted reputations? Chen, Chen

154 C p.
artikel
24 Do required minimum distribution 401(k) rules matter, and for whom? Insights from a lifecycle model Horneff, Vanya

154 C p.
artikel
25 Do stock exchanges specialize? Evidence from the New Jersey transaction tax proposal Irtisam, Rasheek

154 C p.
artikel
26 Downside variance premium, firm fundamentals, and expected corporate bond returns Huang, Tao

154 C p.
artikel
27 Dynamics of stock market developments, financial behavior, and emotions Cordes, Henning

154 C p.
artikel
28 Editorial Board
154 C p.
artikel
29 Evaluating the validity of regulatory interest rate risk measures – a simulation approach Claußen, Catharina

154 C p.
artikel
30 Experiments in finance Kirchler, Michael

154 C p.
artikel
31 Exploiting the dynamics of commodity futures curves Bianchi, Robert J.

154 C p.
artikel
32 Firm life cycle and cost of debt Amin, Abu

154 C p.
artikel
33 Forecasts of the real price of oil revisited: Do they beat the random walk? Ellwanger, Reinhard

154 C p.
artikel
34 Fund Flows and Asset Valuations of Bond Mutual Funds: Effect of Side-by-Side Management Koo, Minjae

154 C p.
artikel
35 Heterogeneous inflation and deflation experiences and savings decisions during German industrialization Lehmann-Hasemeyer, Sibylle

154 C p.
artikel
36 Impact of systemic risk regulation on optimal policies and asset prices Bernard, Carole

154 C p.
artikel
37 Imposing Choice on the Uninformed: The Case of Dynamic Currency Conversion Ewerhart, Christian

154 C p.
artikel
38 Information shares for markets with partially overlapping trading hours Dimpfl, Thomas

154 C p.
artikel
39 Insider trading regulation and shorting constraints. Evaluating the joint effects of two market interventions. Merl, Robert

154 C p.
artikel
40 Investment decisions and financial leverage under a potential entry threat Kamoto, Shinsuke

154 C p.
artikel
41 Investment preferences and risk perception: Financial agents versus clients Kling, Luisa

154 C p.
artikel
42 IPO underpricing and limited attention: Theory and evidence Liu, Laura Xiaolei

154 C p.
artikel
43 Leveling the playing field? The effect of disclosing fund manager activeness to individual investors Scheld, Dominik

154 C p.
artikel
44 Low interest rates and banks’ interest margins: Does belonging to a banking group matter? Argimon, Isabel

154 C p.
artikel
45 Money market reforms:The effect on the commercial paper market Allen, Kyle

154 C p.
artikel
46 Motivated beliefs, social preferences, and limited liability in financial decision-Making Ahrens, Steffen

154 C p.
artikel
47 MyPortfolio: The IKEA effect in financial investment decisions Brunner, Fabian

154 C p.
artikel
48 News indices on country fundamentals Fulop, Andras

154 C p.
artikel
49 Quality is our asset: The international transmission of liquidity regulation Reinhardt, Dennis

154 C p.
artikel
50 Real estate security token offerings and the secondary market: Driven by crypto hype or fundamentals? Kreppmeier, Julia

154 C p.
artikel
51 Regressive effects of payment card pricing and merchant cost pass-through in the United States and Canada Felt, Marie-Hélène

154 C p.
artikel
52 Scale and skills in European active management: Impact of a new regulatory context Khim, Veasna

154 C p.
artikel
53 Strategic supply management and mechanism choice in government debt auctions: An empirical analysis from the Philippines Mariño III, Eduardo Anthony G.

154 C p.
artikel
54 Stress tests and information disclosure: An experimental analysis Cox, Caleb

154 C p.
artikel
55 Supervisory stringency, payout restrictions, and bank equity prices Marsh, W. Blake

154 C p.
artikel
56 The effect of uncertainty on stock market volatility and correlation Asgharian, Hossein

154 C p.
artikel
57 The impact of sovereign credit ratings on voters’ preferences Nguyen, Phuc Lam Thy

154 C p.
artikel
58 The importance of deposit insurance credibility Bonfim, Diana

154 C p.
artikel
59 The Role of Moving Shocks, Unemployment, and Policy in Understanding Housing Bust Krivenko, Pavel

154 C p.
artikel
60 The sources of value creation in acquisitions of intangible assets Masulis, Ronald W.

154 C p.
artikel
61 Uncertainty, credit and investment: Evidence from firm-bank matched data Kim, Youngju

154 C p.
artikel
62 When should retirees tap their home equity? Hambel, Christoph

154 C p.
artikel
                             62 gevonden resultaten
 
 Koninklijke Bibliotheek - Nationale Bibliotheek van Nederland