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                             14 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 Analysing the determinants of insolvency risk for general insurance firms in the UK Caporale, Guglielmo Maria
2017
84 C p. 107-122
16 p.
artikel
2 Are correlations constant? Empirical and theoretical results on popular correlation models in finance Adams, Zeno
2017
84 C p. 9-24
16 p.
artikel
3 Comparative statics and portfolio choices under the phantom decision model Iwaki, Hideki
2017
84 C p. 1-8
8 p.
artikel
4 Determinants of the crude oil futures curve: Inventory, consumption and volatility Nikitopoulos, Christina Sklibosios
2017
84 C p. 53-67
15 p.
artikel
5 Do all new brooms sweep clean? Evidence for outside bank appointments Kick, Thomas
2017
84 C p. 135-151
17 p.
artikel
6 Editorial Board 2017
84 C p. IFC-
1 p.
artikel
7 Financial overconfidence over time: Foresight, hindsight, and insight of investors Merkle, Christoph
2017
84 C p. 68-87
20 p.
artikel
8 Government ownership and exposure to political uncertainty: Evidence from China Zhou, Zhengyi
2017
84 C p. 152-165
14 p.
artikel
9 Intraday online investor sentiment and return patterns in the U.S. stock market Renault, Thomas
2017
84 C p. 25-40
16 p.
artikel
10 It's all in the name: Mutual fund name changes after SEC Rule 35d-1 Espenlaub, Susanne
2017
84 C p. 123-134
12 p.
artikel
11 Out-of-sample equity premium predictability and sample split–invariant inference Kolev, Gueorgui I.
2017
84 C p. 188-201
14 p.
artikel
12 Risk-sharing, market imperfections, asset prices: Evidence from China’s stock market liberalization Chan, Marc K.
2017
84 C p. 166-187
22 p.
artikel
13 The market price of risk of the variance term structure Dotsis, George
2017
84 C p. 41-52
12 p.
artikel
14 Unemployment fluctuations and the predictability of currency returns Nucera, Federico
2017
84 C p. 88-106
19 p.
artikel
                             14 gevonden resultaten
 
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