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                             38 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 Aggregation of exponential smoothing processes with an application to portfolio risk evaluation Sbrana, Giacomo
2013
37 5 p. 1437-1450
14 p.
artikel
2 A look inside AMLF: What traded and who benefited Akay, Ozgur (Ozzy)
2013
37 5 p. 1643-1657
15 p.
artikel
3 A revisit to the dependence structure between the stock and foreign exchange markets: A dependence-switching copula approach Wang, Yi-Chiuan
2013
37 5 p. 1706-1719
14 p.
artikel
4 Bankruptcy risk, costs and corporate diversification Singhal, Rajeev
2013
37 5 p. 1475-1489
15 p.
artikel
5 Causes and consequences of short-term institutional herding Kremer, Stephanie
2013
37 5 p. 1676-1686
11 p.
artikel
6 Changes in cash holdings around the S&P 500 additions Brisker, Eric R.
2013
37 5 p. 1787-1807
21 p.
artikel
7 Competition and innovation: Evidence from financial services Bos, Jaap W.B.
2013
37 5 p. 1590-1601
12 p.
artikel
8 Disclosures of material weaknesses by Japanese firms after the passage of the 2006 Financial Instruments and Exchange Law Chernobai, Anna
2013
37 5 p. 1524-1542
19 p.
artikel
9 Disentangling the effect of jumps on systematic risk using a new estimator of integrated co-volatility Wang, Kent
2013
37 5 p. 1777-1786
10 p.
artikel
10 Does board structure in banks really affect their performance? Pathan, Shams
2013
37 5 p. 1573-1589
17 p.
artikel
11 Dynamic optimal portfolio choice in a jump-diffusion model with investment constraints Jin, Xing
2013
37 5 p. 1733-1746
14 p.
artikel
12 Editorial Board 2013
37 5 p. IFC-
1 p.
artikel
13 Estimating the degree of operating efficiency gains from a potential bank merger and acquisition: A DEA bootstrapped approach Halkos, George E.
2013
37 5 p. 1658-1668
11 p.
artikel
14 Finance is good for the poor but it depends where you live Rewilak, Johan
2013
37 5 p. 1451-1459
9 p.
artikel
15 Financial intermediation, competition and risk Fethi, Meryem Duygun
2013
37 5 p. 1307-1309
3 p.
artikel
16 Hedging structured credit products during the credit crisis: A horse race of 10 models Ascheberg, Marius
2013
37 5 p. 1687-1705
19 p.
artikel
17 House prices, bank instability, and economic growth: Evidence from the threshold model Pan, Huiran
2013
37 5 p. 1720-1732
13 p.
artikel
18 How does the stock market react to the announcement of green policies? Ramiah, Vikash
2013
37 5 p. 1747-1758
12 p.
artikel
19 Information transfers and learning in financial markets: Evidence from short selling around insider sales Chakrabarty, Bidisha
2013
37 5 p. 1560-1572
13 p.
artikel
20 Investment and financing constraints in China: Does working capital management make a difference? Ding, Sai
2013
37 5 p. 1490-1507
18 p.
artikel
21 Market crises and Basel capital requirements: Could Basel III have been different? Evidence from Portugal, Ireland, Greece and Spain (PIGS) Rossignolo, Adrián F.
2013
37 5 p. 1323-1339
17 p.
artikel
22 Old captains at the helm: Chairman age and firm performance Waelchli, Urs
2013
37 5 p. 1612-1628
17 p.
artikel
23 Overreaction of country ETFs to US market returns: Intraday vs. daily horizons and the role of synchronized trading Levy, Ariel
2013
37 5 p. 1412-1421
10 p.
artikel
24 Overseas listing as a policy tool: Evidence from China’s H-shares Sun, Qian
2013
37 5 p. 1460-1474
15 p.
artikel
25 Prestigious stock exchanges: A network analysis of international financial centers Cetorelli, Nicola
2013
37 5 p. 1543-1551
9 p.
artikel
26 Private equity performance under extreme regulation Cumming, Douglas
2013
37 5 p. 1508-1523
16 p.
artikel
27 Regional economic development, strategic investors, and efficiency of Chinese city commercial banks Sun, Jianjun
2013
37 5 p. 1602-1611
10 p.
artikel
28 Relationship lending, hierarchical distance and credit tightening: Evidence from the financial crisis Cotugno, Matteo
2013
37 5 p. 1372-1385
14 p.
artikel
29 Revisiting mutual fund performance evaluation Angelidis, Timotheos
2013
37 5 p. 1759-1776
18 p.
artikel
30 Robust portfolio choice with ambiguity and learning about return predictability Branger, Nicole
2013
37 5 p. 1397-1411
15 p.
artikel
31 Systematic stress tests with entropic plausibility constraints Breuer, Thomas
2013
37 5 p. 1552-1559
8 p.
artikel
32 The determinants of reputational risk in the banking sector Fiordelisi, Franco
2013
37 5 p. 1359-1371
13 p.
artikel
33 The disposition effect and investor experience Da Costa Jr., Newton
2013
37 5 p. 1669-1675
7 p.
artikel
34 The effect of banking regulation on cross-border lending Fidrmuc, Jarko
2013
37 5 p. 1310-1322
13 p.
artikel
35 The interbank market after the financial turmoil: Squeezing liquidity in a “lemons market” or asking liquidity “on tap” De Socio, Antonio
2013
37 5 p. 1340-1358
19 p.
artikel
36 Trading on inside information: Evidence from the share-structure reform in China Tong, Wilson H.S.
2013
37 5 p. 1422-1436
15 p.
artikel
37 Value creation in banking through strategic alliances and joint ventures Amici, Alessandra
2013
37 5 p. 1386-1396
11 p.
artikel
38 Who moves first? An intensity-based measure for information flows across stock exchanges Kehrle, Kerstin
2013
37 5 p. 1629-1642
14 p.
artikel
                             38 gevonden resultaten
 
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