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                             25 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 Conglomerate investment under various capital market conditions Yan, An
2010
34 1 p. 103-115
13 p.
artikel
2 Diversification and Value-at-Risk Pérignon, Christophe
2010
34 1 p. 55-66
12 p.
artikel
3 Does cross-listing facilitate changes in corporate ownership and control? Ayyagari, Meghana
2010
34 1 p. 208-223
16 p.
artikel
4 Editorial Board 2010
34 1 p. IFC-
1 p.
artikel
5 Efficiency, technical change, and returns to scale in large US banks: Panel data evidence from an output distance function satisfying theoretical regularity Feng, Guohua
2010
34 1 p. 127-138
12 p.
artikel
6 Equity fund ownership and the cross-regional diversification of household risk Becker, Sascha O.
2010
34 1 p. 90-102
13 p.
artikel
7 Equity issues and temporal variation in information asymmetry Autore, Don M.
2010
34 1 p. 12-23
12 p.
artikel
8 Financial development and asset valuation: The special case of real estate Shahid Ebrahim, M.
2010
34 1 p. 150-162
13 p.
artikel
9 Information content of options trading volume for future volatility: Evidence from the Taiwan options market Chang, Chuang-Chang
2010
34 1 p. 174-183
10 p.
artikel
10 International diversification strategies: Revisited from the risk perspective Bai, Ye
2010
34 1 p. 236-245
10 p.
artikel
11 Investor sentiment and the stock market’s reaction to monetary policy Kurov, Alexander
2010
34 1 p. 139-149
11 p.
artikel
12 Irish credit unions: Investigating performance determinants and the opportunity cost of regulatory compliance Glass, J. Colin
2010
34 1 p. 67-76
10 p.
artikel
13 Is international diversification really beneficial? You, Leyuan
2010
34 1 p. 163-173
11 p.
artikel
14 Managerial rights, use of investment banks, and the wealth effects for acquiring firms’ shareholders Wang, Weishen
2010
34 1 p. 44-54
11 p.
artikel
15 Model risk and capital reserves Kerkhof, Jeroen
2010
34 1 p. 267-279
13 p.
artikel
16 Operational risk and reputation in the financial industry Gillet, Roland
2010
34 1 p. 224-235
12 p.
artikel
17 Pricing catastrophe options with stochastic claim arrival intensity in claim time Chang, Carolyn W.
2010
34 1 p. 24-32
9 p.
artikel
18 Reputation stretching in mutual fund starts Chen, Hsuan-Chi
2010
34 1 p. 193-207
15 p.
artikel
19 The dark side of global integration: Increasing tail dependence Beine, Michel
2010
34 1 p. 184-192
9 p.
artikel
20 The impact of regulatory reforms on cost structure, ownership and competition in Indian banking Zhao, Tianshu
2010
34 1 p. 246-254
9 p.
artikel
21 The index fund rationality paradox Boldin, Michael
2010
34 1 p. 33-43
11 p.
artikel
22 The predictive power of the implied volatility of options traded OTC and on exchanges Yu, Wayne W.
2010
34 1 p. 1-11
11 p.
artikel
23 The S&P500 index effect reconsidered: Evidence from overnight and intraday stock price performance and volume Kappou, Konstantina
2010
34 1 p. 116-126
11 p.
artikel
24 The strategic specialist and imperfect competition in a limit order market Dumitrescu, Ariadna
2010
34 1 p. 255-266
12 p.
artikel
25 Tight bounds on American option prices Chung, San-Lin
2010
34 1 p. 77-89
13 p.
artikel
                             25 gevonden resultaten
 
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