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                             22 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 Are there long-run implications of analyst coverage for IPOs? Bradley, Daniel
2008
32 6 p. 1120-1132
13 p.
artikel
2 A tale of two prices: Liquidity and asset prices in multiple markets Chan, Justin S.P.
2008
32 6 p. 947-960
14 p.
artikel
3 Bank incentives and suboptimal lending decisions: Evidence from the valuation effect of bank loan announcements in Japan Kang, Jun-Koo
2008
32 6 p. 915-929
15 p.
artikel
4 Bank stock returns and economic growth Cole, Rebel A.
2008
32 6 p. 995-1007
13 p.
artikel
5 Can subordinated debt constrain banks’ risk taking? Niu, Jijun
2008
32 6 p. 1110-1119
10 p.
artikel
6 Credit rating dynamics and Markov mixture models Frydman, Halina
2008
32 6 p. 1062-1075
14 p.
artikel
7 Editorial Board 2008
32 6 p. IFC-
1 p.
artikel
8 Finance and development: Is Schumpeter’s analysis still relevant? Bertocco, Giancarlo
2008
32 6 p. 1161-1175
15 p.
artikel
9 Information acquisition, coordination, and fundamentals in a financial crisis Nikitin, Maxim
2008
32 6 p. 907-914
8 p.
artikel
10 Information asymmetry and investment–cash flow sensitivity Ascioglu, Asli
2008
32 6 p. 1036-1048
13 p.
artikel
11 Liquidity, default, taxes, and yields on municipal bonds Wang, Junbo
2008
32 6 p. 1133-1149
17 p.
artikel
12 Monetary policy news and exchange rate responses: Do only surprises matter? Fatum, Rasmus
2008
32 6 p. 1076-1086
11 p.
artikel
13 On Haezendonck risk measures Bellini, Fabio
2008
32 6 p. 986-994
9 p.
artikel
14 On measuring synchronization of bulls and bears: The case of East Asia Candelon, Bertrand
2008
32 6 p. 1022-1035
14 p.
artikel
15 Optimal delegated portfolio management with background risk Baptista, Alexandre M.
2008
32 6 p. 977-985
9 p.
artikel
16 Optimal portfolios when volatility can jump Branger, Nicole
2008
32 6 p. 1087-1097
11 p.
artikel
17 Ownership structure, corporate governance and analyst following: A study of French listed firms Boubaker, Sabri
2008
32 6 p. 961-976
16 p.
artikel
18 Practical methods for measuring and managing operational risk in the financial sector: A clinical study Chapelle, Ariane
2008
32 6 p. 1049-1061
13 p.
artikel
19 Regime dependent determinants of credit default swap spreads Alexander, Carol
2008
32 6 p. 1008-1021
14 p.
artikel
20 The causal effect of board size in the performance of small and medium-sized firms Bennedsen, Morten
2008
32 6 p. 1098-1109
12 p.
artikel
21 The information content of stock split announcements: Do options matter? Chern, Keh-Yiing
2008
32 6 p. 930-946
17 p.
artikel
22 Unraveling the complex interrelationships between exchange rates and fundamentals Murphy, Austin
2008
32 6 p. 1150-1160
11 p.
artikel
                             22 gevonden resultaten
 
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