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                             36 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 Can implied volatility predict returns on the currency carry trade? Egbers, Tom
2015
59 C p. 14-26
13 p.
artikel
2 Combining momentum with reversal in commodity futures Bianchi, Robert J.
2015
59 C p. 423-444
22 p.
artikel
3 Corporate social responsibility and Eurozone corporate bonds: The moderating role of country sustainability Stellner, Christoph
2015
59 C p. 538-549
12 p.
artikel
4 Corporate social responsibility and media coverage Cahan, Steven F.
2015
59 C p. 409-422
14 p.
artikel
5 Country and industry concentration and the performance of international mutual funds Hiraki, Takato
2015
59 C p. 297-310
14 p.
artikel
6 Detecting contagion in a multivariate time series system: An application to sovereign bond markets in Europe Blatt, Dominik
2015
59 C p. 1-13
13 p.
artikel
7 Determinants and shareholder wealth effects of the sales method in acquisitions Schlingemann, Frederik
2015
59 C p. 469-485
17 p.
artikel
8 Dynamical macroprudential stress testing using network theory Levy-Carciente, Sary
2015
59 C p. 164-181
18 p.
artikel
9 Earnings performance of major customers and bank loan contracting with suppliers Kim, Jeong-Bon
2015
59 C p. 384-398
15 p.
artikel
10 Earning the right premium on the right factor in portfolio planning Branger, Nicole
2015
59 C p. 367-383
17 p.
artikel
11 Editorial Board 2015
59 C p. IFC-
1 p.
artikel
12 Effects of prepayment regulations on termination of subprime mortgages Steinbuks, Jevgenijs
2015
59 C p. 445-456
12 p.
artikel
13 European financial market dependence: An industry analysis Bartram, Söhnke M.
2015
59 C p. 146-163
18 p.
artikel
14 Ex ante CEO severance pay and risk-taking in the financial services sector Brown, Kareen
2015
59 C p. 111-126
16 p.
artikel
15 Explaining bank stock performance with crisis sentiment Irresberger, Felix
2015
59 C p. 311-329
19 p.
artikel
16 Financial leverage and export quality: Evidence from France Bernini, Michele
2015
59 C p. 280-296
17 p.
artikel
17 High frequency trading and end-of-day price dislocation Aitken, Michael
2015
59 C p. 330-349
20 p.
artikel
18 Inflation targeting: Is IT to blame for banking system instability? Fazio, Dimas M.
2015
59 C p. 76-97
22 p.
artikel
19 Information environment and investor behavior Chang, Yen-Cheng
2015
59 C p. 250-264
15 p.
artikel
20 IPOs, growth, and the impact of relaxing listing requirements Takahashi, Hidenori
2015
59 C p. 505-519
15 p.
artikel
21 Liquidity-adjusted Intraday Value at Risk modeling and risk management: An application to data from Deutsche Börse Dionne, Georges
2015
59 C p. 202-219
18 p.
artikel
22 Maintaining adequate bank capital: An empirical analysis of the supervision of European banks Flannery, Mark J.
2015
59 C p. 236-249
14 p.
artikel
23 Mixing business with politics: Political participation by entrepreneurs in China Feng, Xunan
2015
59 C p. 220-235
16 p.
artikel
24 On luck versus skill when performance benchmarks are style-consistent Agyei-Ampomah, Sam
2015
59 C p. 127-145
19 p.
artikel
25 Pre-auction short positions and impacts on primary dealers’ bidding behavior in US Treasury auctions Tchuindjo, Leonard
2015
59 C p. 193-201
9 p.
artikel
26 Riding the swaption curve Duyvesteyn, Johan
2015
59 C p. 57-75
19 p.
artikel
27 Self-monitoring or reliance on media reporting: How do financial market participants process central bank news? Hayo, Bernd
2015
59 C p. 27-37
11 p.
artikel
28 Size, leverage, and risk-taking of financial institutions Bhagat, Sanjai
2015
59 C p. 520-537
18 p.
artikel
29 Stock market dispersion, the business cycle and expected factor returns Angelidis, Timotheos
2015
59 C p. 265-279
15 p.
artikel
30 The determinants of price discovery: Evidence from US-Canadian cross-listed shares Frijns, Bart
2015
59 C p. 457-468
12 p.
artikel
31 The effect of credit guarantees on credit availability and delinquency rates Cowan, Kevin
2015
59 C p. 98-110
13 p.
artikel
32 The management of interest rate risk during the crisis: Evidence from Italian banks Esposito, Lucia
2015
59 C p. 486-504
19 p.
artikel
33 The role of the variance premium in Jump-GARCH option pricing models Byun, Suk Joon
2015
59 C p. 38-56
19 p.
artikel
34 Valuation effects of corporate social responsibility Fatemi, Ali
2015
59 C p. 182-192
11 p.
artikel
35 What determines the exit decision for leveraged buyouts? Jenkinson, Tim
2015
59 C p. 399-408
10 p.
artikel
36 What explains the value premium? The case of adjustment costs, operating leverage and financial leverage Cao, Viet Nga
2015
59 C p. 350-366
17 p.
artikel
                             36 gevonden resultaten
 
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