Digitale Bibliotheek
Sluiten Bladeren door artikelen uit een tijdschrift
     Tijdschrift beschrijving
       Alle jaargangen van het bijbehorende tijdschrift
         Alle afleveringen van het bijbehorende jaargang
                                       Alle artikelen van de bijbehorende aflevering
 
                             28 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 Asymmetric increasing trends in dependence in international equity markets Okimoto, Tatsuyoshi
2014
46 C p. 219-232
14 p.
artikel
2 Can we forecast the implied volatility surface dynamics of equity options? Predictability and economic value tests Bernales, Alejandro
2014
46 C p. 326-342
17 p.
artikel
3 Credit CARD Act of 2009: What did banks do? Jambulapati, Vikram
2014
46 C p. 21-30
10 p.
artikel
4 Diversification and systemic risk Raffestin, Louis
2014
46 C p. 85-106
22 p.
artikel
5 Do banks really monitor? Evidence from CEO succession decisions Marshall, Andrew
2014
46 C p. 118-131
14 p.
artikel
6 Does auditor choice matter to foreign investors? Evidence from foreign mutual funds worldwide Chou, Julia
2014
46 C p. 1-20
20 p.
artikel
7 Do investors put their money where their mouth is? Stock market expectations and investing behavior Merkle, Christoph
2014
46 C p. 372-386
15 p.
artikel
8 Domestic investor protection and foreign portfolio investment Giofré, Maela
2014
46 C p. 355-371
17 p.
artikel
9 Editorial Board 2014
46 C p. IFC-
1 p.
artikel
10 Finance and employment: Evidence from U.S. banking reforms Boustanifar, Hamid
2014
46 C p. 343-354
12 p.
artikel
11 Firm value in crisis: Effects of firm-level transparency and country-level institutions Enikolopov, Ruben
2014
46 C p. 72-84
13 p.
artikel
12 How to make regulators and shareholders happy under Basel III Schmaltz, Christian
2014
46 C p. 311-325
15 p.
artikel
13 Investor sentiment and the MAX effect Fong, Wai Mun
2014
46 C p. 190-201
12 p.
artikel
14 Loss severities on residential real estate debt during the Great Recession Andersson, Fredrik
2014
46 C p. 266-284
19 p.
artikel
15 Macro-Networks: An application to euro area financial accounts Castrén, Olli
2014
46 C p. 43-58
16 p.
artikel
16 Measuring aggregate risk: Can we robustly identify asset-price boom–bust cycles? Borgy, Vladimir
2014
46 C p. 132-150
19 p.
artikel
17 Measuring bilateral spillover and testing contagion on sovereign bond markets in Europe Claeys, Peter
2014
46 C p. 151-165
15 p.
artikel
18 Modelling the U.S. sovereign credit rating Polito, Vito
2014
46 C p. 202-218
17 p.
artikel
19 Optimal portfolio selection with life insurance under inflation risk Kwak, Minsuk
2014
46 C p. 59-71
13 p.
artikel
20 Press freedom, externally-generated transparency, and stock price informativeness: International evidence Kim, Jeong-Bon
2014
46 C p. 299-310
12 p.
artikel
21 Robust minimum variance portfolio with L-infinity constraints Xing, Xin
2014
46 C p. 107-117
11 p.
artikel
22 Stability analysis of financial contagion due to overlapping portfolios Caccioli, Fabio
2014
46 C p. 233-245
13 p.
artikel
23 The effect of banking system reform on investment–cash flow sensitivity: Evidence from China Tsai, Ying-Ju
2014
46 C p. 166-176
11 p.
artikel
24 The existence and persistence of household financial hardship: A Bayesian multivariate dynamic logit framework Brown, Sarah
2014
46 C p. 285-298
14 p.
artikel
25 The impact of the sovereign debt crisis on the activity of Italian banks Albertazzi, Ugo
2014
46 C p. 387-402
16 p.
artikel
26 The IPO underwriting market share in China: Do ownership and quality matter? Chen, Chao
2014
46 C p. 177-189
13 p.
artikel
27 What do we know about the impact of government interventions in the banking sector? An assessment of various bailout programs on bank behavior Hryckiewicz, Aneta
2014
46 C p. 246-265
20 p.
artikel
28 Yes, the CAPM is testable Guermat, Cherif
2014
46 C p. 31-42
12 p.
artikel
                             28 gevonden resultaten
 
 Koninklijke Bibliotheek - Nationale Bibliotheek van Nederland