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                             19 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 A closer look at financial development and income distribution Gimet, Céline
2011
35 7 p. 1698-1713
16 p.
artikel
2 A comprehensive analysis of the effects of risk measures on bank efficiency: Evidence from emerging Asian countries Sun, Lei
2011
35 7 p. 1727-1735
9 p.
artikel
3 Does debtor protection really protect debtors? Evidence from the small business credit market Berger, Allen N.
2011
35 7 p. 1843-1857
15 p.
artikel
4 Do financial markets care about SRI? Evidence from mergers and acquisitions Aktas, Nihat
2011
35 7 p. 1753-1761
9 p.
artikel
5 Earned/contributed capital, dividend policy, and disclosure quality: An international study Brockman, Paul
2011
35 7 p. 1610-1625
16 p.
artikel
6 Editorial Board 2011
35 7 p. IFC-
1 p.
artikel
7 Financial intermediation in the theory of the risk-free rate Marini, François
2011
35 7 p. 1663-1668
6 p.
artikel
8 Firm specific and macro herding by professional and amateur investors and their effects on market volatility Venezia, Itzhak
2011
35 7 p. 1599-1609
11 p.
artikel
9 Firm survival and financial development: Evidence from a panel of emerging Asian economies Tsoukas, Serafeim
2011
35 7 p. 1736-1752
17 p.
artikel
10 Founder CEO management and the long-run investment performance of IPO firms Gao, Ning
2011
35 7 p. 1669-1682
14 p.
artikel
11 Long memory in volatility and trading volume Fleming, Jeff
2011
35 7 p. 1714-1726
13 p.
artikel
12 Nonlinearly weighted convex risk measure and its application Chen, Zhiping
2011
35 7 p. 1777-1793
17 p.
artikel
13 Omega performance measure and portfolio insurance Bertrand, Philippe
2011
35 7 p. 1811-1823
13 p.
artikel
14 On the characteristics and performance of long-short, market-neutral and bear mutual funds Badrinath, S.G.
2011
35 7 p. 1762-1776
15 p.
artikel
15 Portfolio insurance and prospect theory investors: Popularity and optimal design of capital protected financial products Dichtl, Hubert
2011
35 7 p. 1683-1697
15 p.
artikel
16 Recovering copulas from limited information and an application to asset allocation Chu, Ba
2011
35 7 p. 1824-1842
19 p.
artikel
17 Strategic behavior within families of hedge funds Kolokolova, Olga
2011
35 7 p. 1645-1662
18 p.
artikel
18 The impact of corporate social responsibility on the cost of bank loans Goss, Allen
2011
35 7 p. 1794-1810
17 p.
artikel
19 Who is the more overconfident trader? Individual vs. institutional investors Chuang, Wen-I
2011
35 7 p. 1626-1644
19 p.
artikel
                             19 gevonden resultaten
 
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