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                             128 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 Acknowledgements 2003
4 p. iii-iv
nvt p.
artikel
2 Acknowledgements 2001
4 p. iii-v
nvt p.
artikel
3 Acknowledgements 1996
4 p. i-iv
nvt p.
artikel
4 Acknowledgements 1997
4 p. i-iv
nvt p.
artikel
5 Acknowledgements 1994
4 p. i-iii
nvt p.
artikel
6 Acknowledgements 1995
4 p. iii-v
nvt p.
artikel
7 Addition to the Nikkei 225 Index and Japanese market response: Temporary demand effect of index arbitrageurs Okada, Katsuhiko
2006
4 p. 395-409
15 p.
artikel
8 Advertisement: Authorartwork 2002
4 p. IV-
1 p.
artikel
9 Advertisement: Contents Direct 2002
4 p. III-
1 p.
artikel
10 A GMM approach for estimation of volatility and regression models when daily prices are subject to price limits Wei, K.C.John
2004
4 p. 445-461
17 p.
artikel
11 Analysts' dividend forecasts Brown, Philip
2002
4 p. 371-391
21 p.
artikel
12 Analysts' earnings forecasts in Japan: Accuracy and sell-side optimism Conroy, Robert M.
1995
4 p. 393-408
16 p.
artikel
13 An analysis of the relative performance of Japanese and foreign money management Brown, Stephen J.
2003
4 p. 393-412
20 p.
artikel
14 An empirical test of the BS and CSR valuation models for warrants listed in Thailand Shastri, Kuldeep
1995
4 p. 465-483
19 p.
artikel
15 An evaluation of the deposit insurance subsidisation of Australian banks Dennis, Steven A.
1996
4 p. 421-435
15 p.
artikel
16 An Ohlson valuation framework for valuing corporate governance: The case of Taiwan Lee, Shih-Cheng
2011
4 p. 420-434
15 p.
artikel
17 Are international portfolio adjustments a cause of comovements in stock prices? Tsutsui, Yoshiro
2004
4 p. 463-478
16 p.
artikel
18 Are N+1 heads better than one? The timing and selectivity of Australian-managed investment funds Prather, Larry J
2001
4 p. 379-400
22 p.
artikel
19 Asian interest expectations and exchange rate dynamics Koedijk, Kees G
1994
4 p. 439-452
14 p.
artikel
20 Asian sovereign debt and country risk Johansson, Anders C.
2010
4 p. 335-350
16 p.
artikel
21 A simple model for pricing imputation tax credits under Australias dividend imputation tax system Wood, Justin
1997
4 p. 465-480
16 p.
artikel
22 A study on foreign exchange dealers' bid–ask spread quote behavior Hua, Mingshu
2009
4 p. 506-523
18 p.
artikel
23 A survey of evidence on domestic and international stock exchange listings with implications for markets and managers McConnell, John J.
1996
4 p. 347-376
30 p.
artikel
24 Asymmetric information, voluntary ratings and the Rating Agency of Malaysia Nayar, Nandkumar
1993
4 p. 369-380
12 p.
artikel
25 Auctions versus book building of Japanese IPOs Kaneko, Takashi
2003
4 p. 439-462
24 p.
artikel
26 Author index volume 4 1996
4 p. 437-438
2 p.
artikel
27 Author index volume 3 1995
4 p. 497-498
2 p.
artikel
28 Author index volume 2 1994
4 p. 499-500
2 p.
artikel
29 Author index volume 1 1994
4 p. 497-498
2 p.
artikel
30 Banks as lenders and shareholders: Evidence from Japan Gao, Wenlian
2008
4 p. 389-410
22 p.
artikel
31 Behavioral finance Ritter, Jay R
2003
4 p. 429-437
9 p.
artikel
32 Beta stability and portfolio formation Brooks, Robert D.
1994
4 p. 463-479
17 p.
artikel
33 Board composition and firm value under concentrated ownership: the Canadian evidence Erickson, John
2005
4 p. 387-410
24 p.
artikel
34 Call for Papers IRFA 2004
4 p. I-
1 p.
artikel
35 Competition, Financial Integration and Risks in the Global Economy 2001
4 p. I-
1 p.
artikel
36 Controlling shareholders and corporate value: Evidence from Thailand Wiwattanakantang, Yupana
2001
4 p. 323-362
40 p.
artikel
37 Corporate governance and ownership structure of target companies and the outcome of takeovers Henry, Darren
2004
4 p. 419-444
26 p.
artikel
38 Costly information, diversification and international mutual fund performance Engström, Stefan
2003
4 p. 463-482
20 p.
artikel
39 Currency hedging failure in international equity investments and an efficient hedging strategy: The perspective of Korean investors Suh, Sangwon
2011
4 p. 390-403
14 p.
artikel
40 Determinants of state equity ownership, and its effect on value/performance: China's privatized firms Ng, Alex
2009
4 p. 413-443
31 p.
artikel
41 Did the Asian financial crisis scare foreign investors out of Japan? Karolyi, G.Andrew
2002
4 p. 411-442
32 p.
artikel
42 Difference of opinion and the cross-section of equity returns: Australian evidence Gharghori, Philip
2011
4 p. 435-446
12 p.
artikel
43 Differential shareholder wealth and volume effects surrounding private equity placements in New Zealand Anderson, Hamish D.
2006
4 p. 367-394
28 p.
artikel
44 Dividend policy, cash flow, and investment in Japan Kato, Hideaki Kiyoshi
2002
4 p. 443-473
31 p.
artikel
45 Does the location of stock exchange matter? A within-country analysis Liao, Li
2012
4 p. 561-582
22 p.
artikel
46 Does the method of entry matter? Evidence from Indian ADRs and GDRs Kalimipalli, Madhu
2006
4 p. 349-366
18 p.
artikel
47 Do momentum-based strategies work in emerging currency markets? Chong, Terence Tai-Leung
2009
4 p. 479-493
15 p.
artikel
48 Dynamic inconsistency of capital forbearance: Long-run vs. short-run effects of too-big-to-fail policymaking Kane, Edward J.
2001
4 p. 281-299
19 p.
artikel
49 Editorial Board 2003
4 p. IFC-
1 p.
artikel
50 Editorial Board 2004
4 p. IFC-
1 p.
artikel
51 Editorial Board 2002
4 p. IFC-
1 p.
artikel
52 Editorial Board 2008
4 p. IFC-
1 p.
artikel
53 Editorial Board 2007
4 p. IFC-
1 p.
artikel
54 Editorial Board 2009
4 p. IFC-
1 p.
artikel
55 Editorial Board 2010
4 p. IFC-
1 p.
artikel
56 Editorial Board 2006
4 p. CO2-
1 p.
artikel
57 Editorial Board 2005
4 p. CO2-
1 p.
artikel
58 Editorial Board 2011
4 p. IFC-
1 p.
artikel
59 Editorial Board 2012
4 p. IFC-
1 p.
artikel
60 Endogeneity bias in beta estimation: Thailand and Hong Kong Woo, Chi-Keung
1994
4 p. 453-461
9 p.
artikel
61 Evaluating the impact of market reforms on Value-at-Risk forecasts of Chinese A and B shares da Veiga, Bernardo
2008
4 p. 453-475
23 p.
artikel
62 Family ownership and performance in Korean conglomerates Chang, James Jinho
2007
4 p. 329-352
24 p.
artikel
63 Financial regulation in the 21st century Carmichael, Jeffrey
2001
4 p. 313-321
9 p.
artikel
64 Foreign exchange exposure and the pricing of currency risk in equity returns: Some Australian evidence Loudon, Geoffrey F.
1993
4 p. 335-354
20 p.
artikel
65 Foreign investors and corporate governance in Korea Kim, In Joon
2010
4 p. 390-402
13 p.
artikel
66 Good news, bad news and international spillovers of stock return volatility between Japan and the U.S. Bae, Kee-Hong
1994
4 p. 405-438
34 p.
artikel
67 Hedge funds: Omniscient or just plain wrong Brown, Stephen J.
2001
4 p. 301-311
11 p.
artikel
68 Implementing monetary policy in a deregulated financial system: A study of the Australian official short-term money market Carmichael, Jeffrey
1995
4 p. 409-428
20 p.
artikel
69 Index 1993
4 p. 407-408
2 p.
artikel
70 Information flows between non-deliverable forward (NDF) and spot markets: Evidence from Korean currency Park, Jinwoo
2001
4 p. 363-377
15 p.
artikel
71 Interaction of investor trades and market volatility: Evidence from the Tokyo Stock Exchange Bae, Kee-Hong
2008
4 p. 370-388
19 p.
artikel
72 Intraday and intraweek volatility patterns of Hang Seng Index and index futures, and a test of the wait-to-trade hypothesis Tang, Gordon Y.N
2002
4 p. 475-495
21 p.
artikel
73 Intraday volatility in the Taipei FX market Gau, Yin-Feng
2005
4 p. 471-487
17 p.
artikel
74 Investigating productive efficiency and productivity changes of Japanese life insurance companies Fukuyama, Hirofumi
1997
4 p. 481-509
29 p.
artikel
75 Investor herding during financial crisis: A clinical study of the Jakarta Stock Exchange Bowe, Michael
2004
4 p. 387-418
32 p.
artikel
76 IPO flipping in Australia: cross-sectional explanations Bayley, Luke
2006
4 p. 327-348
22 p.
artikel
77 Korean bank governance reform after the Asian financial crisis Choe, Heungsik
2003
4 p. 483-508
26 p.
artikel
78 Learning from a Keynote speaker: Lessons from Merton Miller's PACAP addresses McConnell, John J
2002
4 p. 359-369
11 p.
artikel
79 Managerial entrenchment of anti-takeover devices: Quasi-experimental evidence from Korea Hwang, Sunwoo
2012
4 p. 614-638
25 p.
artikel
80 Margin requirements and stock market volatility Another look at the case of Taiwan Hsu, Yenshan
1996
4 p. 409-419
11 p.
artikel
81 Measuring Thailand's barriers to investment Khanthavit, Anya
1993
4 p. 355-367
13 p.
artikel
82 Merton Miller: A Tribute Chen, Andrew H
2002
4 p. 355-357
3 p.
artikel
83 Momentum strategies and stock returns: Chinese evidence Naughton, Tony
2008
4 p. 476-492
17 p.
artikel
84 Moneyness and the response of the implied volatilities to price changes: The empirical evidence from HSI options Chan, Kam C
2003
4 p. 527-553
27 p.
artikel
85 On the possibility of a yen currency bloc for Pacific-Basin countries: A stochastic dominance approach Melvin, Michael
1993
4 p. 309-333
25 p.
artikel
86 On the predictability of Chinese stock returns Chen, Xuanjuan
2010
4 p. 403-425
23 p.
artikel
87 Ownership concentration, firm performance, and dividend policy in Hong Kong Chen, Zhilan
2005
4 p. 431-449
19 p.
artikel
88 Pricing errors at the open and close for foreign stocks traded on the NYSE Choe, Hyuk
1994
4 p. 481-495
15 p.
artikel
89 Reducing tick size on the Stock Exchange of Singapore Lau, Sie Ting
1995
4 p. 485-496
12 p.
artikel
90 Regulation and target takeover returns: Is there a link? Marshall, Ben R.
2009
4 p. 395-412
18 p.
artikel
91 Regulatory changes, market integration and spillover effects in the Chinese A, B and Hong Kong equity markets Chen, Jing
2011
4 p. 351-373
23 p.
artikel
92 Remembering Mert Roll, Richard
2002
4 p. 353-
1 p.
artikel
93 Retail minority shareholders and corporate reputation as determinant of dividend policy in Australia Lee, King Fuei
2010
4 p. 351-368
18 p.
artikel
94 Seize the moment: Opportunism in Australian capital markets Koh, SzeKee
2011
4 p. 374-389
16 p.
artikel
95 Selecting macroeconomic variables as explanatory factors of emerging stock market returns Bilson, Christopher M
2001
4 p. 401-426
26 p.
artikel
96 Short-sales restrictions and volatility The case of the Stock Exchange of Singapore Ho, Kim Wai
1996
4 p. 377-391
15 p.
artikel
97 SMB — Arousal, disproportionate reactions and the size-premium Durand, Robert B.
2007
4 p. 315-328
14 p.
artikel
98 Stock index reaction to large price changes: Evidence from major Asian stock indexes Mazouz, Khelifa
2009
4 p. 444-459
16 p.
artikel
99 Sudden stops and liability dollarization: Evidence from Asia's financial intermediaries Chue, Timothy K.
2008
4 p. 436-452
17 p.
artikel
100 Takeovers in New Zealand: Motives, stockholder returns, and executive share ownership Firth, Michael
1997
4 p. 419-440
22 p.
artikel
101 Tests of alternate models for the pricing of Korean Treasury bond futures contracts Kang, Jangkoo
2006
4 p. 410-425
16 p.
artikel
102 The accuracy of analysts' dividend forecasts around the world Brown, Philip
2008
4 p. 411-435
25 p.
artikel
103 The aftermarket performance of initial public offerings in Korea Kim, Jeong-Bon
1995
4 p. 429-448
20 p.
artikel
104 The conservatism bias in an emerging stock market: Evidence from Taiwan Wu, Chen-Hui
2009
4 p. 494-505
12 p.
artikel
105 The cyclical behavior of the risk of value strategy: Evidence from Taiwan Huang, I-Hsiang
2011
4 p. 404-419
16 p.
artikel
106 The Economic Impact of Herd Behavior in the Japanese Loan Market Nakagawa, Ryuichi
2012
4 p. 600-613
14 p.
artikel
107 The effects of monetary policy shocks on exchange rates: Evidence from New Zealand and Australia Wilkinson, Katherine J
2001
4 p. 427-455
29 p.
artikel
108 The impact of disclosure reform on the NZX's financial information environment Huang, Meng
2009
4 p. 460-478
19 p.
artikel
109 The impact of the Asian financial crisis on foreign exchange market efficiency: The case of East Asian countries Jeon, Bang Nam
2003
4 p. 509-525
17 p.
artikel
110 The information content of firms switching from section 2 to section 1 of the Tokyo stock exchange Lamba, Asjeet S.
1997
4 p. 441-463
23 p.
artikel
111 The investment and operating performance of Japanese initial public offerings Cai, Jun
1997
4 p. 389-417
29 p.
artikel
112 The performance of the Hong Kong Hang Seng Index futures contract in risk-return management Yau, Jot
1993
4 p. 381-406
26 p.
artikel
113 The political economy of SME financing and Japan's regional bank problems Choe, Chongwoo
2007
4 p. 353-367
15 p.
artikel
114 The real impact of stock market mispricing — Evidence from Australia Chang, Xin
2007
4 p. 388-408
21 p.
artikel
115 The role of financial variables in the pricing of Korean initial public offerings Kim, Jeong-Bon
1995
4 p. 449-464
16 p.
artikel
116 The role of investment banks in M&A transactions: Fees and services Walter, Terry S.
2008
4 p. 341-369
29 p.
artikel
117 The SEC's review of the registration statement and stock price movements during the seasoned equity issuance process Chang, James Jinho
2004
4 p. 359-386
28 p.
artikel
118 The stock market reaction to the 2005 split share structure reform in China Beltratti, Andrea
2012
4 p. 543-560
18 p.
artikel
119 The wealth effects of non-equity alliances The U.S.-Japanese licensing experience Beck, John C.
1996
4 p. 393-408
16 p.
artikel
120 Underwriter reputation and underpricing: Evidence from the Japanese IPO market Kirkulak, Berna
2005
4 p. 451-470
20 p.
artikel
121 Use of derivatives by Australian companies Heaney, Richard
2005
4 p. 411-430
20 p.
artikel
122 Valuation of parent guarantees of subsidiary debt: Ownership, risk and leverage implications Chen, Andrew H
1994
4 p. 391-404
14 p.
artikel
123 Voluntary use of independent valuation advice by target firm boards in takeovers Bugeja, Martin
2007
4 p. 368-387
20 p.
artikel
124 Warrants pricing: Stochastic volatility vs. Black–Scholes Huang, Yu Chuan
2002
4 p. 393-409
17 p.
artikel
125 What drives the cost of US dollar bond funding for banks? Poskitt, Russell
2012
4 p. 583-599
17 p.
artikel
126 What drives volatile emerging stock market returns? Lee, Bong-Soo
2005
4 p. 367-385
19 p.
artikel
127 What kind of multinational deposit-insurance arrangements might best enhance world welfare? Kane, Edward J
2003
4 p. 413-428
16 p.
artikel
128 What should we know about momentum investing? The case of the Australian Security Exchange Galariotis, Emilios C.
2010
4 p. 369-389
21 p.
artikel
                             128 gevonden resultaten
 
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