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                             23 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 A comparative study of the probability of default for global financial firms Câmara, António
2012
36 3 p. 717-732
16 p.
artikel
2 Bankruptcies of small firms and lending relationship Shimizu, Katsutoshi
2012
36 3 p. 857-870
14 p.
artikel
3 Can VAR models capture regime shifts in asset returns? A long-horizon strategic asset allocation perspective Guidolin, Massimo
2012
36 3 p. 695-716
22 p.
artikel
4 Capital incentives and adequacy for securitizations Rösch, Daniel
2012
36 3 p. 733-748
16 p.
artikel
5 Capital requirements and bank behavior in the UK: Are there lessons for international capital standards? Francis, William B.
2012
36 3 p. 803-816
14 p.
artikel
6 Collateral and its substitutes in emerging markets’ lending Menkhoff, Lukas
2012
36 3 p. 817-834
18 p.
artikel
7 Cross-country analysis of secular cash trends Iskandar-Datta, Mai E.
2012
36 3 p. 898-912
15 p.
artikel
8 Determinants of earnout as acquisition payment currency and bidder’s value gains Barbopoulos, Leonidas
2012
36 3 p. 678-694
17 p.
artikel
9 Editorial Board 2012
36 3 p. IFC-
1 p.
artikel
10 Fast profits: Investor sentiment and stock returns during Ramadan Białkowski, Jędrzej
2012
36 3 p. 835-845
11 p.
artikel
11 Higher co-moments and asset pricing on London Stock Exchange Kostakis, Alexandros
2012
36 3 p. 913-922
10 p.
artikel
12 International diversification: An extreme value approach Chollete, Lorán
2012
36 3 p. 871-885
15 p.
artikel
13 Missing elements in US financial reform: A Kübler-Ross interpretation of the inadequacy of the Dodd-Frank Act Kane, Edward J.
2012
36 3 p. 654-661
8 p.
artikel
14 Perspectives on international and corporate finance Lucey, Brian M.
2012
36 3 p. 625-
1 p.
artikel
15 Political crises and the stock market integration of emerging markets Frijns, Bart
2012
36 3 p. 644-653
10 p.
artikel
16 Price discovery and volatility spillovers in the European Union emissions trading scheme: A high-frequency analysis Rittler, Daniel
2012
36 3 p. 774-785
12 p.
artikel
17 Short selling of ADRs and foreign market short-sale constraints Blau, Benjamin M.
2012
36 3 p. 886-897
12 p.
artikel
18 The cross-section of mutual fund fee dispersion Iannotta, Giuliano
2012
36 3 p. 846-856
11 p.
artikel
19 The information content of implied skewness and kurtosis changes prior to earnings announcements for stock and option returns Diavatopoulos, Dean
2012
36 3 p. 786-802
17 p.
artikel
20 The politics of financial development: The role of interest groups and government capabilities Becerra, O.
2012
36 3 p. 626-643
18 p.
artikel
21 Trading frequency and volatility clustering Xue, Yi
2012
36 3 p. 760-773
14 p.
artikel
22 What do premiums paid for bank M&As reflect? The case of the European Union Hagendorff, Jens
2012
36 3 p. 749-759
11 p.
artikel
23 Yes, dividends are disappearing: Worldwide evidence Fatemi, Ali
2012
36 3 p. 662-677
16 p.
artikel
                             23 gevonden resultaten
 
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