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                             27 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 Acquisition valuations of withdrawn IPOs: When IPO plans turn into mergers Lian, Qin
2012
36 5 p. 1424-1436
13 p.
artikel
2 Are good-news firms riskier than bad-news firms? Min, Byoung-Kyu
2012
36 5 p. 1528-1535
8 p.
artikel
3 A stochastic frontier approach to modelling financial constraints in firms: An application to India Bhaumik, Sumon Kumar
2012
36 5 p. 1311-1319
9 p.
artikel
4 Bank connections, corporate investment and crisis Espenlaub, Susanne
2012
36 5 p. 1336-1353
18 p.
artikel
5 Being a foreigner among domestic banks: Asset or liability? Claessens, Stijn
2012
36 5 p. 1276-1290
15 p.
artikel
6 Board quality and the cost of debt capital: The case of bank loans Paige Fields, L.
2012
36 5 p. 1536-1547
12 p.
artikel
7 Characteristic-based mean-variance portfolio choice Hjalmarsson, Erik
2012
36 5 p. 1392-1401
10 p.
artikel
8 Cojumping: Evidence from the US Treasury bond and futures markets Dungey, Mardi
2012
36 5 p. 1563-1575
13 p.
artikel
9 Combining equilibrium, resampling, and analyst’s views in portfolio optimization Barros Fernandes, José Luiz
2012
36 5 p. 1354-1361
8 p.
artikel
10 Common information asymmetry factors in syndicated loan structures Champagne, Claudia
2012
36 5 p. 1437-1451
15 p.
artikel
11 Did investors outsource their risk analysis to rating agencies? Evidence from ABS-CDOs Mählmann, Thomas
2012
36 5 p. 1478-1491
14 p.
artikel
12 Do investment banks listen to their own analysts? Jordan, Bradford D.
2012
36 5 p. 1452-1463
12 p.
artikel
13 Editorial Board 2012
36 5 p. IFC-
1 p.
artikel
14 Extreme downside risk and expected stock returns Huang, Wei
2012
36 5 p. 1492-1502
11 p.
artikel
15 Granularity adjustment for default risk factor model with cohorts Gourieroux, C.
2012
36 5 p. 1464-1477
14 p.
artikel
16 Household portfolio choices, health status and health care systems: A cross-country analysis based on SHARE Atella, Vincenzo
2012
36 5 p. 1320-1335
16 p.
artikel
17 Investors’ distraction and strategic repricing decisions Navone, Marco
2012
36 5 p. 1291-1303
13 p.
artikel
18 Local financial development and growth Kendall, Jake
2012
36 5 p. 1548-1562
15 p.
artikel
19 Macroenvironmental determinants of operational loss severity Cope, Eric W.
2012
36 5 p. 1362-1380
19 p.
artikel
20 On the relationship between concentration of prospect theory/mental accounting investors, cointegration, and momentum Bhootra, Ajay
2012
36 5 p. 1266-1275
10 p.
artikel
21 Pitfalls in VAR based return decompositions: A clarification Engsted, Tom
2012
36 5 p. 1255-1265
11 p.
artikel
22 Political connection and cost of debt: Some Malaysian evidence Bliss, Mark A.
2012
36 5 p. 1520-1527
8 p.
artikel
23 Subprime mortgage design Bhardwaj, Geetesh
2012
36 5 p. 1503-1519
17 p.
artikel
24 The information content of trade credit Aktas, Nihat
2012
36 5 p. 1402-1413
12 p.
artikel
25 The term structure of illiquidity premia Kempf, Alexander
2012
36 5 p. 1381-1391
11 p.
artikel
26 Using industry momentum to improve portfolio performance Behr, Patrick
2012
36 5 p. 1414-1423
10 p.
artikel
27 When are path-dependent payoffs suboptimal? Kassberger, Stefan
2012
36 5 p. 1304-1310
7 p.
artikel
                             27 gevonden resultaten
 
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