nr |
titel |
auteur |
tijdschrift |
jaar |
jaarg. |
afl. |
pagina('s) |
type |
1 |
A behavioral explanation of the value anomaly based on time-varying return reversals
|
Hwang, Soosung |
|
2013 |
37 |
7 |
p. 2367-2377 11 p. |
artikel |
2 |
Access to information and international portfolio allocation
|
Thapa, Chandra |
|
2013 |
37 |
7 |
p. 2255-2267 13 p. |
artikel |
3 |
Alternative bankruptcy prediction models using option-pricing theory
|
Charitou, Andreas |
|
2013 |
37 |
7 |
p. 2329-2341 13 p. |
artikel |
4 |
Assessing systemic risks and predicting systemic events
|
Duca, Marco Lo |
|
2013 |
37 |
7 |
p. 2183-2195 13 p. |
artikel |
5 |
A statistical model of speculative bubbles, with applications to the stock markets of the United States, Japan, and China
|
Asako, Kazumi |
|
2013 |
37 |
7 |
p. 2639-2651 13 p. |
artikel |
6 |
Availability, recency, and sophistication in the repurchasing behavior of retail investors
|
Nofsinger, John R. |
|
2013 |
37 |
7 |
p. 2572-2585 14 p. |
artikel |
7 |
Bankruptcy law and corporate investment decisions
|
Tarantino, Emanuele |
|
2013 |
37 |
7 |
p. 2490-2500 11 p. |
artikel |
8 |
Brazilian retail banking and the 2008 financial crisis: Were the government-controlled banks that important?
|
Pereira, Claudiney M. |
|
2013 |
37 |
7 |
p. 2210-2215 6 p. |
artikel |
9 |
Capturing the risk premium of commodity futures: The role of hedging pressure
|
Basu, Devraj |
|
2013 |
37 |
7 |
p. 2652-2664 13 p. |
artikel |
10 |
Default and bankruptcy in an entrepreneurial economy with incomplete markets
|
Carvalho, Jaimilton |
|
2013 |
37 |
7 |
p. 2162-2172 11 p. |
artikel |
11 |
Do sovereign credit default swaps represent a clean measure of sovereign default risk? A factor model approach
|
Badaoui, Saad |
|
2013 |
37 |
7 |
p. 2392-2407 16 p. |
artikel |
12 |
Drivers of holding period firm-level returns in private equity-backed buyouts
|
Valkama, Petri |
|
2013 |
37 |
7 |
p. 2378-2391 14 p. |
artikel |
13 |
Editorial Board
|
|
|
2013 |
37 |
7 |
p. IFC- 1 p. |
artikel |
14 |
Emerging markets and heavy tails
|
Ibragimov, Marat |
|
2013 |
37 |
7 |
p. 2546-2559 14 p. |
artikel |
15 |
Equity compensation and the sensitivity of research and development to financial market frictions
|
O’Connor, Matthew |
|
2013 |
37 |
7 |
p. 2510-2519 10 p. |
artikel |
16 |
Financial literacy and consumer credit portfolios
|
Disney, Richard |
|
2013 |
37 |
7 |
p. 2246-2254 9 p. |
artikel |
17 |
Funding liquidity risk: Definition and measurement
|
Drehmann, Mathias |
|
2013 |
37 |
7 |
p. 2173-2182 10 p. |
artikel |
18 |
Greasing the wheels of bank lending: Evidence from private firms in China
|
Chen, Yunling |
|
2013 |
37 |
7 |
p. 2533-2545 13 p. |
artikel |
19 |
How cross-listings from an emerging economy affect the host market?
|
Sun, Qian |
|
2013 |
37 |
7 |
p. 2229-2245 17 p. |
artikel |
20 |
Improvements in loss given default forecasts for bank loans
|
Gürtler, Marc |
|
2013 |
37 |
7 |
p. 2354-2366 13 p. |
artikel |
21 |
Internal liquidity risk, financial bullwhip effects, and corporate bond yield spreads: Supply chain perspectives
|
Chen, Tsung-Kang |
|
2013 |
37 |
7 |
p. 2434-2456 23 p. |
artikel |
22 |
International diversification gains and home bias in banking
|
García-Herrero, Alicia |
|
2013 |
37 |
7 |
p. 2560-2571 12 p. |
artikel |
23 |
International income risk-sharing and the global financial crisis of 2008–2009
|
Balli, Faruk |
|
2013 |
37 |
7 |
p. 2303-2313 11 p. |
artikel |
24 |
Market liquidity in the financial crisis: The role of liquidity commonality and flight-to-quality
|
Rösch, Christoph G. |
|
2013 |
37 |
7 |
p. 2284-2302 19 p. |
artikel |
25 |
Measuring systemic importance of financial institutions: An extreme value theory approach
|
Gravelle, Toni |
|
2013 |
37 |
7 |
p. 2196-2209 14 p. |
artikel |
26 |
Nonparametric correlation models for portfolio allocation
|
Aslanidis, Nektarios |
|
2013 |
37 |
7 |
p. 2268-2283 16 p. |
artikel |
27 |
Ownership change, institutional development and performance
|
Knyazeva, Anzhela |
|
2013 |
37 |
7 |
p. 2605-2627 23 p. |
artikel |
28 |
Return sign forecasts based on conditional risk: Evidence from the UK stock market index
|
Chevapatrakul, Thanaset |
|
2013 |
37 |
7 |
p. 2342-2353 12 p. |
artikel |
29 |
Rewards for downside risk in Asian markets
|
Alles, Lakshman |
|
2013 |
37 |
7 |
p. 2501-2509 9 p. |
artikel |
30 |
Self attribution bias of the CEO: Evidence from CEO interviews on CNBC
|
Kim, Y. Han (Andy) |
|
2013 |
37 |
7 |
p. 2472-2489 18 p. |
artikel |
31 |
Short-term persistence in hybrid mutual fund performance: The role of style-shifting abilities
|
Herrmann, Ulf |
|
2013 |
37 |
7 |
p. 2314-2328 15 p. |
artikel |
32 |
Sudden crash or long torture: The timing of market reactions to operational loss events
|
Biell, Lis |
|
2013 |
37 |
7 |
p. 2628-2638 11 p. |
artikel |
33 |
The effect of the interbank network structure on contagion and common shocks
|
Georg, Co-Pierre |
|
2013 |
37 |
7 |
p. 2216-2228 13 p. |
artikel |
34 |
The impact of distressed economies on the EU sovereign market
|
Groba, Jonatan |
|
2013 |
37 |
7 |
p. 2520-2532 13 p. |
artikel |
35 |
The impact of labor unions on investment-cash flow sensitivity
|
Chen, Yan-Shing |
|
2013 |
37 |
7 |
p. 2408-2418 11 p. |
artikel |
36 |
The light and dark side of TARP
|
Farruggio, Christian |
|
2013 |
37 |
7 |
p. 2586-2604 19 p. |
artikel |
37 |
The real effect of banking crises: Finance or asset allocation effects? Some international evidence
|
Fernández, Ana I. |
|
2013 |
37 |
7 |
p. 2419-2433 15 p. |
artikel |
38 |
Uncertainty avoidance, risk tolerance and corporate takeover decisions
|
Frijns, Bart |
|
2013 |
37 |
7 |
p. 2457-2471 15 p. |
artikel |
39 |
VI seminar on risk, financial stability and banking of the Banco Central do Brasil
|
Tabak, Benjamin Miranda |
|
2013 |
37 |
7 |
p. 2161- 1 p. |
artikel |