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                             29 results found
no title author magazine year volume issue page(s) type
1 Are unsolicited ratings biased? Evidence from long-run stock performance Byoun, Soku
2014
42 C p. 326-338
13 p.
article
2 A theory of mandatory convertibles Chemmanur, Thomas J.
2014
42 C p. 352-370
19 p.
article
3 Catalysts for price discovery in the European Union Emissions Trading System Schultz, Emma
2014
42 C p. 112-122
11 p.
article
4 Close form pricing formulas for Coupon Cancellable CoCos Corcuera, José Manuel
2014
42 C p. 339-351
13 p.
article
5 Contrarian flows, consumption and expected stock returns Zhang, Yuzhao
2014
42 C p. 101-111
11 p.
article
6 Developed markets’ business cycle dynamics and time-variation in emerging markets’ asset returns Nitschka, Thomas
2014
42 C p. 76-82
7 p.
article
7 Differentiated use of small business credit scoring by relationship lenders and transactional lenders: Evidence from firm–bank matched data in Japan Ono, Arito
2014
42 C p. 371-380
10 p.
article
8 Do target CEOs trade premiums for personal benefits? Qiu, Buhui
2014
42 C p. 23-41
19 p.
article
9 Editorial Board 2014
42 C p. IFC-
1 p.
article
10 Female leadership, performance, and governance in microfinance institutions Strøm, Reidar Øystein
2014
42 C p. 60-75
16 p.
article
11 Firm cash holdings and CEO inside debt Liu, Yixin
2014
42 C p. 83-100
18 p.
article
12 Foreign exchange risk and the predictability of carry trade returns Cenedese, Gino
2014
42 C p. 302-313
12 p.
article
13 Human capital, household capital and asset returns Ren, Yu
2014
42 C p. 11-22
12 p.
article
14 Information asymmetries and spillover risk in settlement systems Foote, Elizabeth
2014
42 C p. 179-190
12 p.
article
15 Integration of European bond markets Christiansen, Charlotte
2014
42 C p. 191-198
8 p.
article
16 Investor sentiment and return predictability of disagreement Kim, Jun Sik
2014
42 C p. 166-178
13 p.
article
17 Leverage-induced systemic risk under Basle II and other credit risk policies Poledna, Sebastian
2014
42 C p. 199-212
14 p.
article
18 Limited attention, share repurchases, and takeover risk Lin, Ji-Chai
2014
42 C p. 283-301
19 p.
article
19 Long-term U.S. infrastructure returns and portfolio selection Bianchi, Robert J.
2014
42 C p. 314-325
12 p.
article
20 SEC enforcement in the PIPE market: Actions and consequences Bengtsson, Ola
2014
42 C p. 213-231
19 p.
article
21 Should I stay or should I go? Bank productivity and internationalization decisions Buch, Claudia M.
2014
42 C p. 266-282
17 p.
article
22 The behavioral foundations of corporate dividend policy a cross-country analysis Breuer, Wolfgang
2014
42 C p. 247-265
19 p.
article
23 The dynamics of spillover effects during the European sovereign debt turmoil Alter, Adrian
2014
42 C p. 134-153
20 p.
article
24 The economic consequences of regulatory changes in employee stock options on corporate bond holders: SFAS No.123R and structural credit model perspectives Chen, Tsung-Kang
2014
42 C p. 381-394
14 p.
article
25 The financial crisis and bank–client relationships: Foreign ownership, transparency, and portfolio selection Pennathur, Anita
2014
42 C p. 232-246
15 p.
article
26 The impact of derivatives hedging on the stock market: Evidence from Taiwan’s covered warrants market Chung, San-Lin
2014
42 C p. 123-133
11 p.
article
27 The MAX effect: European evidence Walkshäusl, Christian
2014
42 C p. 1-10
10 p.
article
28 Unveiling the embedded coherence in divergent performance rankings Bosch-Badia, Maria Teresa
2014
42 C p. 154-165
12 p.
article
29 Value of strategic alliances: Evidence from the bond market Chou, Ting-Kai
2014
42 C p. 42-59
18 p.
article
                             29 results found
 
 Koninklijke Bibliotheek - National Library of the Netherlands