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                             46 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 Analyst forecasts and European mutual fund trading Franck, Alexander
2013
37 8 p. 2677-2692
16 p.
artikel
2 A re-examination of exposure to exchange rate risk: The impact of earnings management and currency derivative usage Chang, Feng-Yi
2013
37 8 p. 3243-3257
15 p.
artikel
3 Asymmetry in government bond returns Fujiwara, Ippei
2013
37 8 p. 3218-3226
9 p.
artikel
4 A tale of two regimes: Theory and empirical evidence for a Markov-modulated jump diffusion model of equity returns and derivative pricing implications Chang, Charles
2013
37 8 p. 3204-3217
14 p.
artikel
5 Bank capital, interbank contagion, and bailout policy Tian, Suhua
2013
37 8 p. 2765-2778
14 p.
artikel
6 Behind the scenes of abandoning a fixed exchange rate regime Kang, Hyunju
2013
37 8 p. 3145-3156
12 p.
artikel
7 Board characteristics and Chinese bank performance Liang, Qi
2013
37 8 p. 2953-2968
16 p.
artikel
8 Business credit information sharing and default risk of private firms Dierkes, Maik
2013
37 8 p. 2867-2878
12 p.
artikel
9 Canonical vine copulas in the context of modern portfolio management: Are they worth it? Low, Rand Kwong Yew
2013
37 8 p. 3085-3099
15 p.
artikel
10 Capital controls in Brazil – Stemming a tide with a signal? Jinjarak, Yothin
2013
37 8 p. 2938-2952
15 p.
artikel
11 Capital structure choice and company taxation: A meta-study Feld, Lars P.
2013
37 8 p. 2850-2866
17 p.
artikel
12 Competition in fragmented markets: New evidence from the German banking industry in the light of the subprime crisis Moch, Nils
2013
37 8 p. 2908-2919
12 p.
artikel
13 Connected board of directors: A blessing or a curse? Cheung, Yan-Leung
2013
37 8 p. 3227-3242
16 p.
artikel
14 Corporate lobbying, political connections, and the bailout of banks Blau, Benjamin M.
2013
37 8 p. 3007-3017
11 p.
artikel
15 Do bank regulations affect board independence? A cross-country analysis Li, Li
2013
37 8 p. 2714-2732
19 p.
artikel
16 Do bank regulation, supervision and monitoring enhance or impede bank efficiency? Barth, James R.
2013
37 8 p. 2879-2892
14 p.
artikel
17 Does market structure matter on banks’ profitability and stability? Emerging vs. advanced economies Mirzaei, Ali
2013
37 8 p. 2920-2937
18 p.
artikel
18 Do firms use the trade credit channel to manage growth? Ferrando, Annalisa
2013
37 8 p. 3035-3046
12 p.
artikel
19 Dynamic effects of idiosyncratic volatility and liquidity on corporate bond spreads Kalimipalli, Madhu
2013
37 8 p. 2969-2990
22 p.
artikel
20 Dynamics of credit spread moments of European corporate bond indexes Alizadeh, Amir H.
2013
37 8 p. 3125-3144
20 p.
artikel
21 Editorial Board 2013
37 8 p. IFC-
1 p.
artikel
22 Eliminating entry barriers for the provision of banking services: Evidence from ‘banking correspondents’ in Brazil Assunção, Juliano
2013
37 8 p. 2806-2811
6 p.
artikel
23 Executive compensation and the cost of debt Kabir, Rezaul
2013
37 8 p. 2893-2907
15 p.
artikel
24 Financial contagion and depositor monitoring Hasman, Augusto
2013
37 8 p. 3076-3084
9 p.
artikel
25 Identifying the balance sheet and the lending channels of monetary transmission: A loan-level analysis Aysun, Uluc
2013
37 8 p. 2812-2822
11 p.
artikel
26 Identifying the interaction between stock market returns and trading flows of investor types: Looking into the day using daily data Ülkü, Numan
2013
37 8 p. 2733-2749
17 p.
artikel
27 Impact of idiosyncratic volatility on stock returns: A cross-sectional study Khovansky, Serguey
2013
37 8 p. 3064-3075
12 p.
artikel
28 Institutional investor stability and crash risk: Monitoring versus short-termism? Callen, Jeffrey L.
2013
37 8 p. 3047-3063
17 p.
artikel
29 Investment in financial literacy and saving decisions Jappelli, Tullio
2013
37 8 p. 2779-2792
14 p.
artikel
30 Is gold a safe haven or a hedge for the US dollar? Implications for risk management Reboredo, Juan C.
2013
37 8 p. 2665-2676
12 p.
artikel
31 Is local bias a cross-border phenomenon? Evidence from individual investors’ international asset allocation Baltzer, Markus
2013
37 8 p. 2823-2835
13 p.
artikel
32 Model uncertainty and VaR aggregation Embrechts, Paul
2013
37 8 p. 2750-2764
15 p.
artikel
33 Multidimensional risk and risk dependence Polanski, Arnold
2013
37 8 p. 3286-3294
9 p.
artikel
34 Optimal smooth consumption and annuity design Bruhn, Kenneth
2013
37 8 p. 2693-2701
9 p.
artikel
35 Portfolio reallocation and exchange rate dynamics Ding, Liang
2013
37 8 p. 3100-3124
25 p.
artikel
36 Pricing discrete path-dependent options under a double exponential jump–diffusion model Fuh, Cheng-Der
2013
37 8 p. 2702-2713
12 p.
artikel
37 Product market power, industry structure, and corporate earnings management Datta, Sudip
2013
37 8 p. 3273-3285
13 p.
artikel
38 Prospect theory and trading patterns Yao, Jing
2013
37 8 p. 2793-2805
13 p.
artikel
39 Sarbanes-Oxley Act and corporate credit spreads Nejadmalayeri, Ali
2013
37 8 p. 2991-3006
16 p.
artikel
40 Size matters: Optimal calibration of shrinkage estimators for portfolio selection DeMiguel, Victor
2013
37 8 p. 3018-3034
17 p.
artikel
41 Suppliers’ and customers’ information asymmetry and corporate bond yield spreads Chen, Tsung-Kang
2013
37 8 p. 3181-3191
11 p.
artikel
42 Systemic risk measurement: Multivariate GARCH estimation of CoVaR Girardi, Giulio
2013
37 8 p. 3169-3180
12 p.
artikel
43 Testing the expectations hypothesis of the term structure with permanent-transitory component models Casalin, Fabrizio
2013
37 8 p. 3192-3203
12 p.
artikel
44 The determinants and effects of CEO–employee pay ratios Faleye, Olubunmi
2013
37 8 p. 3258-3272
15 p.
artikel
45 The effectiveness and valuation of political tax minimization Hill, Matthew D.
2013
37 8 p. 2836-2849
14 p.
artikel
46 Valuing catastrophe derivatives under limited diversification: A stochastic dominance approach Perrakis, Stylianos
2013
37 8 p. 3157-3168
12 p.
artikel
                             46 gevonden resultaten
 
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