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                             29 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 A simple asset pricing model with heterogeneous agents, uninsurable labor income and limited stock market participation Ahn, Seryoong
2015
55 C p. 9-22
14 p.
artikel
2 Can mutual funds pick stocks in China? Evidence from the IPO market Feng, Xunan
2015
55 C p. 170-186
17 p.
artikel
3 Consumer payment choice: Merchant card acceptance versus pricing incentives Arango, Carlos
2015
55 C p. 130-141
12 p.
artikel
4 Credit spreads and state-dependent volatility: Theory and empirical evidence Perrakis, Stylianos
2015
55 C p. 215-231
17 p.
artikel
5 Determinants of risk sharing through remittances Balli, Faruk
2015
55 C p. 107-116
10 p.
artikel
6 Does banks’ dual holding affect bank lending and firms’ investment decisions? Evidence from China Pan, Xiaofei
2015
55 C p. 406-424
19 p.
artikel
7 Drivers of cross-border banking exposures during the crisis Cerutti, Eugenio
2015
55 C p. 340-357
18 p.
artikel
8 Economic links and credit spreads Gençay, Ramazan
2015
55 C p. 157-169
13 p.
artikel
9 Editorial Board 2015
55 C p. IFC-
1 p.
artikel
10 Excess control rights, financial crisis and bank profitability and risk Saghi-Zedek, Nadia
2015
55 C p. 361-379
19 p.
artikel
11 Executive compensation and informed trading in acquiring firms around merger announcements Ordu, Umut
2015
55 C p. 260-280
21 p.
artikel
12 Executive incentives and payout policy: Empirical evidence from Europe De Cesari, Amedeo
2015
55 C p. 70-91
22 p.
artikel
13 Global governance and financial stability Moshirian, Fariborz
2015
55 C p. 358-360
3 p.
artikel
14 Institutional herding in international markets Choi, Nicole
2015
55 C p. 246-259
14 p.
artikel
15 International political risk and government bond pricing Huang, Tao
2015
55 C p. 393-405
13 p.
artikel
16 Investment policy with time-to-build Sarkar, Sudipto
2015
55 C p. 142-156
15 p.
artikel
17 Loan collateral, corporate investment, and business cycle Aivazian, Varouj
2015
55 C p. 380-392
13 p.
artikel
18 Oil prices, US stock return, and the dependence between their quantiles Sim, Nicholas
2015
55 C p. 1-8
8 p.
artikel
19 On post-IPO stock price performance: A comparative analysis of RLBOs and IPOs Datta, Sudip
2015
55 C p. 187-203
17 p.
artikel
20 Pitfalls and perils of financial innovation: The use of CDS by corporate bond funds Adam, Tim
2015
55 C p. 204-214
11 p.
artikel
21 Protection or expropriation: Politically connected independent directors in China Wang, Lihong
2015
55 C p. 92-106
15 p.
artikel
22 Quote inefficiency in options markets Longarela, Iñaki R.
2015
55 C p. 23-36
14 p.
artikel
23 Risk management, nonlinearity and aggressiveness in monetary policy: The case of the US Fed Gnabo, Jean-Yves
2015
55 C p. 281-294
14 p.
artikel
24 Size and value risk in financial firms Baek, Seungho
2015
55 C p. 295-326
32 p.
artikel
25 Systemic risk of insurers around the globe Bierth, Christopher
2015
55 C p. 232-245
14 p.
artikel
26 The impact of internet stock message boards on cross-sectional returns of small-capitalization stocks Leung, Henry
2015
55 C p. 37-55
19 p.
artikel
27 The Lintner model revisited: Dividends versus total payouts Andres, Christian
2015
55 C p. 56-69
14 p.
artikel
28 The market valuation of share repurchases in Europe Andriosopoulos, Dimitris
2015
55 C p. 327-339
13 p.
artikel
29 What daily data can tell us about mutual funds: Evidence from Norway Gallefoss, Kristoffer
2015
55 C p. 117-129
13 p.
artikel
                             29 gevonden resultaten
 
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