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                             24 results found
no title author magazine year volume issue page(s) type
1 A robust optimization approach to asset-liability management under time-varying investment opportunities Gülpinar, Nalan
2013
37 6 p. 2031-2041
11 p.
article
2 Board composition and operational risk events of financial institutions Wang, Tawei
2013
37 6 p. 2042-2051
10 p.
article
3 Building legal indexes to explain recovery rates: An analysis of the French and English bankruptcy codes Blazy, Régis
2013
37 6 p. 1936-1959
24 p.
article
4 Can prospect theory be used to predict an investor’s willingness to pay? Erner, Carsten
2013
37 6 p. 1960-1973
14 p.
article
5 Changing the rules again: Short selling in connection with public equity offers Autore, Don M.
2013
37 6 p. 1974-1985
12 p.
article
6 Crossing takeover premiums and mix of payment: An empirical test of contractual setting in M&A transactions de La Bruslerie, Hubert
2013
37 6 p. 2106-2123
18 p.
article
7 Does it help to have friends in high places? Bank stock performance and congressional committee chairmanships Gropper, Daniel M.
2013
37 6 p. 1986-1999
14 p.
article
8 Does it pay to have friends? Social ties and executive appointments in banking Berger, Allen N.
2013
37 6 p. 2087-2105
19 p.
article
9 Editorial Board 2013
37 6 p. IFC-
1 p.
article
10 Governance, product market competition and cash management in IPO firms Jain, Bharat A.
2013
37 6 p. 2052-2068
17 p.
article
11 Households’ foreign currency borrowing in Central and Eastern Europe Fidrmuc, Jarko
2013
37 6 p. 1880-1897
18 p.
article
12 Information immobility, industry concentration, and institutional investors’ performance Fedenia, Mark
2013
37 6 p. 2140-2159
20 p.
article
13 Investing at home and abroad: Different costs, different people? Christelis, Dimitris
2013
37 6 p. 2069-2086
18 p.
article
14 Is bank default risk systematic? Fiordelisi, Franco
2013
37 6 p. 2000-2010
11 p.
article
15 Long-term asset tail risks in developed and emerging markets Straetmans, Stefan
2013
37 6 p. 1832-1844
13 p.
article
16 Nonlinear portfolio selection using approximate parametric Value-at-Risk Cui, Xueting
2013
37 6 p. 2124-2139
16 p.
article
17 Political-economy of pension plans: Impact of institutions, gender, and culture Aggarwal, Raj
2013
37 6 p. 1860-1879
20 p.
article
18 Privatization and globalization: An empirical analysis Boubakri, Narjess
2013
37 6 p. 1898-1914
17 p.
article
19 Safety-net benefits conferred on difficult-to-fail-and-unwind banks in the US and EU before and during the great recession Carbó-Valverde, Santiago
2013
37 6 p. 1845-1859
15 p.
article
20 Systemic risk measures: The simpler the better? Rodríguez-Moreno, María
2013
37 6 p. 1817-1831
15 p.
article
21 The impact of credit rating announcements on credit default swap spreads Finnerty, John D.
2013
37 6 p. 2011-2030
20 p.
article
22 The political economy of international integration Lucey, Brian M.
2013
37 6 p. 1809-
1 p.
article
23 The term structure of sovereign default risk in EMU member countries and its determinants Eichler, Stefan
2013
37 6 p. 1810-1816
7 p.
article
24 Why does shareholder protection matter for abnormal returns after reported insider purchases and sales? Fidrmuc, Jana P.
2013
37 6 p. 1915-1935
21 p.
article
                             24 results found
 
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