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                             63 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 A microstructure study of circuit breakers in the Chinese stock markets Wang, Steven Shuye
2019
57 C p.
artikel
2 Anti-corruption, political connections and corporate responses: Evidence from Chinese listed companies Jin, Xuejun
2019
57 C p.
artikel
3 Are market views on banking industry useful for forecasting economic growth? Lai, Van Son
2019
57 C p.
artikel
4 Bank capital regulation: How do Asian banks respond? Nguyen, Quang Thi Thieu
2019
57 C p.
artikel
5 Bank health and cash holdings: Evidence from a bank-centered financial market Sasaki, Toshinori
2019
57 C p.
artikel
6 Bank relationships and corporate cash holdings Shikimi, Masayo
2019
57 C p.
artikel
7 CEO early life experiences and cash holding: Evidence from China's great famine Hu, Jun
2019
57 C p.
artikel
8 Chinese shadow banking, financial regulation and effectiveness of monetary policy Yang, Liu
2019
57 C p.
artikel
9 Clustering and discounting in auction-style SEOs – Evidence from China Liu, Jinzhao
2019
57 C p.
artikel
10 Compensation committees, CEO pay and firm performance Kanapathippillai, Sutharson
2019
57 C p.
artikel
11 Controlling shareholders' tax incentives and related party transactions Chung, Heesun
2019
57 C p.
artikel
12 Corporate governance and family succession: New evidence from Taiwan Yeh, Yin-Hua
2019
57 C p.
artikel
13 Determinants of loan securitization in Chinese banking: Cost-benefit-based analysis Zhang, Jinqing
2019
57 C p.
artikel
14 Does country background risk matter to the strategic asset allocation of sovereign wealth funds? Cai, Mingchao
2019
57 C p.
artikel
15 Do firm-level factors play forward-looking role for financial systemic risk: Evidence from China Li, Xindan
2019
57 C p.
artikel
16 Do individual investors demand or provide liquidity? New evidence from dividend announcements Chen, Zhijuan
2019
57 C p.
artikel
17 Dollar-weighted return on aggregate corporate sector: How is it distributed across countries? Sun, Lingxia
2019
57 C p.
artikel
18 Do multiple large shareholders reduce agency problems in state-controlled listed firms? Evidence from China Chen, Fengqin
2019
57 C p.
artikel
19 Downside jump risk and the levels of futures-cash basis Chen, Chin-Ho
2019
57 C p.
artikel
20 Dynamic hedging using the realized minimum-variance hedge ratio approach – Examination of the CSI 300 index futures Qu, Hui
2019
57 C p.
artikel
21 Editorial Board 2019
57 C p.
artikel
22 Effect of short-term debt on default risk: Evidence from Pacific Basin countries Wang, Chih-Wei
2019
57 C p.
artikel
23 Efficiency and profitability in the global insurance industry Eling, Martin
2019
57 C p.
artikel
24 Equity financing restrictions and the asset growth effect: International vs. Asian evidence Huang, Alan Guoming
2019
57 C p.
artikel
25 Estimating multifactor portfolio credit risk: A variance reduction approach Hsieh, Ming-Hua
2019
57 C p.
artikel
26 Expected stock price crash risk and bank loan pricing: Evidence from China's listed firms Gu, Xiaolong
2019
57 C p.
artikel
27 Family firms and financial analyst activity Eugster, Nicolas
2019
57 C p.
artikel
28 Financial liberalisation, bank ownership type and performance in a transition economy: The case of Vietnam Le, Phuong Thanh
2019
57 C p.
artikel
29 Financial structure and determinants of systemic risk contribution Qin, Xiao
2019
57 C p.
artikel
30 Firm-level innovation by Japanese family firms: Empirical analysis using multidimensional innovation measures Kubota, Keiichi
2019
57 C p.
artikel
31 Foreign direct investment and downside risk: Evidence from Taiwan Wang, Li-Hsun
2019
57 C p.
artikel
32 Founders and the decision of Chinese dual-class IPOs in the U.S. Li, Xiaodan
2019
57 C p.
artikel
33 Global consistent or market-oriented? A quantitative assessment of RBC standards, solvency II, and C-ROSS Liu, Shuyan
2019
57 C p.
artikel
34 Hedging, speculation, and risk management effect of commodity futures: Evidence from firm voluntary disclosures Shao, Lili
2019
57 C p.
artikel
35 High-speed rail, small city, and cost of debt: Firm-level evidence Wang, Yanan
2019
57 C p.
artikel
36 Home advantage: The preference for local residential real estate investment Wright, Danika
2019
57 C p.
artikel
37 Hot money flows and production uncertainty: Evidence from China Zhang, Yihao
2019
57 C p.
artikel
38 Information asymmetry, legal environment, and family firm governance: Evidence from IPO underpricing in China Huang, Wei
2019
57 C p.
artikel
39 Information, incentives, and effects of risk-sharing on the real economy Liu, Mark
2019
57 C p.
artikel
40 Institutional ownership and corporate governance of public companies in China Guo, Lin
2019
57 C p.
artikel
41 Integrated framework for information security investment and cyber insurance Wang, Shaun S.
2019
57 C p.
artikel
42 Is that factor just lucky? Australian evidence Hoang, Khoa
2019
57 C p.
artikel
43 Managerial overconfidence and directors' and officers' liability insurance Lai, Yi-Hsun
2019
57 C p.
artikel
44 Modeling of recovery rate for a given default by non-parametric method Chen, Rongda
2019
57 C p.
artikel
45 Multiple large shareholders and dividends: Evidence from China Jiang, Fuxiu
2019
57 C p.
artikel
46 Performance commitment in acquisitions, regulatory change and market crash risk–evidence from China Song, Di
2019
57 C p.
artikel
47 Policy uncertainty exposure and market value: Evidence from China Yang, Zhenyi
2019
57 C p.
artikel
48 Political connections and firm performance: Evidence from government officials' site visits Wang, Yizhong
2019
57 C p.
artikel
49 Predicting the volatility of the iShares China Large-Cap ETF: What is the role of the SSE 50 ETF? Zhu, Fangfei
2019
57 C p.
artikel
50 Provincial official turnover and bank loans Cao, Chunfang
2019
57 C p.
artikel
51 Publisher’s Note 2019
57 C p.
artikel
52 Real option, idiosyncratic risk, and corporate investment: Evidence from Taiwan family firms Chen, I-Ju
2019
57 C p.
artikel
53 Risk-revealing contracts for government-sponsored microinsurance Chen, Bingzheng
2019
57 C p.
artikel
54 Should companies care who their lender is? Evidence from loan covenants Kang, Di
2019
57 C p.
artikel
55 Socially responsible firms and mergers and acquisitions performance: Australian evidence Krishnamurti, Chandrasekhar
2019
57 C p.
artikel
56 Tactical asset allocation on technical trading rules and data snooping Yang, Junmin
2019
57 C p.
artikel
57 The effect of institutional blockholders' short-termism on firm innovation: Evidence from the Korean market Kang, Sanggyu
2019
57 C p.
artikel
58 The impact of portfolio holdings disclosure on fund returns Gregory-Allen, Russell
2019
57 C p.
artikel
59 The practice of and motivation for equity recycling: Evidence from the Asia-Pacific region Fairhurst, Douglas (DJ)
2019
57 C p.
artikel
60 The real driver of trade credit Tsuruta, Daisuke
2019
57 C p.
artikel
61 Trade credit, ownership and informal financing in China Wang, Xiaoming
2019
57 C p.
artikel
62 Uncertainty and IPO initial returns: Evidence from the Tone Analysis of China’s IPO Prospectuses Yan, Yumeng
2019
57 C p.
artikel
63 Valuation and analysis on complex equity indexed annuities Chiu, Yu-Fen
2019
57 C p.
artikel
                             63 gevonden resultaten
 
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