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                             26 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 A careful re-examination of seasonality in international stock markets: Comment on sentiment and stock returns Kamstra, Mark J.
2012
36 4 p. 934-956
23 p.
artikel
2 An empirical analysis of marginal conditional stochastic dominance Clark, Ephraim
2012
36 4 p. 1144-1151
8 p.
artikel
3 Are two heads better than one? Evidence from the thrift crisis Byrd, John
2012
36 4 p. 957-967
11 p.
artikel
4 Bouncing out of the banking system: An empirical analysis of involuntary bank account closures Campbell, Dennis
2012
36 4 p. 1224-1235
12 p.
artikel
5 Closing and cloning in open-end mutual funds Chen, Hsiu-Lang
2012
36 4 p. 1210-1223
14 p.
artikel
6 Coincident correlations of growth and cash flow in banking Dahl, Drew
2012
36 4 p. 1139-1143
5 p.
artikel
7 Correlation in credit risk changes Pu, Xiaoling
2012
36 4 p. 1093-1106
14 p.
artikel
8 Cross-sectional performance and investor sentiment in a multiple risk factor model Berger, Dave
2012
36 4 p. 1107-1121
15 p.
artikel
9 Do CEOs gain more in foreign acquisitions than domestic acquisitions? Ozkan, Neslihan
2012
36 4 p. 1122-1138
17 p.
artikel
10 Does being your bank’s neighbor matter? Knyazeva, Anzhela
2012
36 4 p. 1194-1209
16 p.
artikel
11 Earnings conference calls and stock returns: The incremental informativeness of textual tone Price, S. McKay
2012
36 4 p. 992-1011
20 p.
artikel
12 Editorial Board 2012
36 4 p. IFC-
1 p.
artikel
13 Empirical evidence of the value of monitoring in joint ownership Mantecon, Tomas
2012
36 4 p. 1045-1056
12 p.
artikel
14 Exploring the role of the realized return distribution in the formation of the implied volatility smile Chalamandaris, Georgios
2012
36 4 p. 1028-1044
17 p.
artikel
15 Firm location and corporate debt Arena, Matteo P.
2012
36 4 p. 1079-1092
14 p.
artikel
16 Historical evidence on the finance-trade-growth nexus Bordo, Michael D.
2012
36 4 p. 1236-1243
8 p.
artikel
17 Institutional investment horizon and investment–cash flow sensitivity Attig, Najah
2012
36 4 p. 1164-1180
17 p.
artikel
18 Investment timing under debt issuance constraint Shibata, Takashi
2012
36 4 p. 981-991
11 p.
artikel
19 Large shareholder diversification, corporate risk taking, and the benefits of changing to differential voting rights Bauguess, Scott W.
2012
36 4 p. 1244-1253
10 p.
artikel
20 Macroeconomic and bank-specific determinants of non-performing loans in Greece: A comparative study of mortgage, business and consumer loan portfolios Louzis, Dimitrios P.
2012
36 4 p. 1012-1027
16 p.
artikel
21 Modeling and measuring intraday overreaction of stock prices Klößner, Stefan
2012
36 4 p. 1152-1163
12 p.
artikel
22 Portfolio selection with mental accounts and background risk Baptista, Alexandre M.
2012
36 4 p. 968-980
13 p.
artikel
23 The alpha and omega of fund of hedge fund added value Darolles, Serge
2012
36 4 p. 1067-1078
12 p.
artikel
24 The determinants of bank loan recovery rates Khieu, Hinh D.
2012
36 4 p. 923-933
11 p.
artikel
25 The performance of cross-sectional regression tests of the CAPM with non-zero pricing errors Murtazashvili, Irina
2012
36 4 p. 1057-1066
10 p.
artikel
26 Uncovering the US term premium: An alternative route Gil-Alana, Luis A.
2012
36 4 p. 1181-1193
13 p.
artikel
                             26 gevonden resultaten
 
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