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                             64 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 A fresh look at the risk-return tradeoff Wang, Cindy S.H.

68 C p.
artikel
2 An inflation-based ICAPM in China Zhang, Han

68 C p.
artikel
3 Anomalies in the China A-share market Jansen, Maarten

68 C p.
artikel
4 Can management tone predict IPO performance? – Evidence from mandatory online roadshows in China Bian, Shibo

68 C p.
artikel
5 Corporate environmental responsibility and default risk: Evidence from China Shih, Yi-Cheng

68 C p.
artikel
6 Corporate social responsibility, competition, and firm value Gupta, Kartick

68 C p.
artikel
7 Decision time and investors' portfolio strategies Zhang, Jing

68 C p.
artikel
8 Deriving managerial skills by dissecting holding changes of mutual funds: Evidence from China Jun, Xiao

68 C p.
artikel
9 Do CEO's political promotion incentives influence the value of cash holdings: Evidence from state-owned enterprises in China Lou, Xu

68 C p.
artikel
10 Do economic policy uncertainty and its components predict China's housing returns? Yin, Xiao-Cui

68 C p.
artikel
11 Does sectoral diversification of loans and financing improve bank returns and risk in dual-banking systems? Šeho, Mirzet

68 C p.
artikel
12 Does size and book-to-market contain intangible information about managerial incentives? Learning from corporate D&O insurance purchase Huang, Rachel J.

68 C p.
artikel
13 Does the q theory of investment work well in China? Chen, Te-Feng

68 C p.
artikel
14 Do fund managers time implied tail risk? — Evidence from Chinese mutual funds Ni, Zhongxin

68 C p.
artikel
15 Do Japanese firms systematically inflate expected rate of returns from defined benefit pension plans? Qin, Yiyi

68 C p.
artikel
16 Do messages on online stock forums spur firm productivity? Zhang, Wei

68 C p.
artikel
17 Downside risk, financial conditions and systemic risk in China Wang, Bo

68 C p.
artikel
18 Economic policy uncertainty and bank stability: Threshold effect of institutional quality and competition Shabir, Mohsin

68 C p.
artikel
19 Economic policy uncertainty, COVID-19 lockdown, and firm-level volatility: Evidence from China Yang, Jianlei

68 C p.
artikel
20 Economic policy uncertainty, hold-up risk and vertical integration: Evidence from China Yu, Zhen

68 C p.
artikel
21 Editorial Board
68 C p.
artikel
22 Explaining the risk premiums of life settlements Kung, Ko-Lun

68 C p.
artikel
23 Female directors and acquisitions: Australian evidence Lucas, Ryley

68 C p.
artikel
24 Financial literacy, debt, risk tolerance and retirement preparedness: Evidence from New Zealand Noviarini, Jelita

68 C p.
artikel
25 Financial stability efficiency of Islamic and conventional banks Safiullah, Md

68 C p.
artikel
26 Firm-level perception of uncertainty and innovation activity: Textual evidence from China's A-share market Yu, Zhen

68 C p.
artikel
27 Geographic proximity and cross-region merger and acquisitions: Evidence from the opening of high-speed rail in China Jin, Zhi

68 C p.
artikel
28 How does labor protection influence corporate risk-taking? Evidence from China Jiang, Jiaoliang

68 C p.
artikel
29 How do investors in Chinese stock market react to external uncertainty? An event study to the Sino-US disputes Gu, Xin

68 C p.
artikel
30 How noise trading affects informational efficiency: Evidence from an order-driven market Zhang, Hengbin

68 C p.
artikel
31 Is inflation persistent? Evidence from a time-varying unit root model Devpura, Neluka

68 C p.
artikel
32 Jumps at ultra-high frequency: Evidence from the Chinese stock market Zhang, Chuanhai

68 C p.
artikel
33 Litigation risk and cost of capital: Evidence from China Qin, Jiaqi

68 C p.
artikel
34 Lottery preferences and retail short selling Tsai, Chia-Fen

68 C p.
artikel
35 Measuring the connectedness of global health sector stock markets Ye, Liping

68 C p.
artikel
36 Media exposure on corporate social irresponsibility and firm performance Teng, Chia-Chen

68 C p.
artikel
37 Monetary policy and its transmission channels: Evidence from China Li, Huan

68 C p.
artikel
38 Mutual fund herding and return comovement in Chinese equities Caglayan, Mustafa Onur

68 C p.
artikel
39 Network connectedness and China's systemic financial risk contagion——An analysis based on big data Fan, Xiaoyun

68 C p.
artikel
40 Political connections and banks' credit smoothing behavior: Incentives and costs Bian, Wenlong

68 C p.
artikel
41 Political uncertainty and A-H share premium Cheng, Xu

68 C p.
artikel
42 Predicting the risk of financial distress using corporate governance measures Li, Zhiyong

68 C p.
artikel
43 Predictive ability of similarity-based futures trading strategies Chiang, Mi-Hsiu

68 C p.
artikel
44 Pricing catastrophe swaps with default risk and stochastic interest rates Lo, Chien-Ling

68 C p.
artikel
45 Property rights protection and mergers and acquisitions Fang, Tian Jin

68 C p.
artikel
46 Quantile relationship between Islamic and non-Islamic equity markets Rahman, Md Lutfur

68 C p.
artikel
47 Reinforcement learning and mortgage partial prepayment behavior Deng, Yongheng

68 C p.
artikel
48 Saving for the future: Evaluating the sustainability and design of Pension Reserve Funds Castañeda, Pablo

68 C p.
artikel
49 Signed momentum in the Chinese stock market Gao, Ya

68 C p.
artikel
50 Staged subsidies and corporate investments: Evidence from Chinese listed firms Deng, Kebin

68 C p.
artikel
51 Stock market reactions to the COVID-19 pandemic: The moderating role of corporate big data strategies based on Word2Vec Xue, Fujing

68 C p.
artikel
52 Technical expert CEOs and corporate innovation Ting, Hsiu-I

68 C p.
artikel
53 The effect of economic policy uncertainty on enterprise total factor productivity based on financial mismatch: Evidence from China Li, Kaifeng

68 C p.
artikel
54 The impacts of circuit breakers on China's stock market Li, Zeguang

68 C p.
artikel
55 The importance of large shocks to return predictability Diaz, Juan

68 C p.
artikel
56 The nonlinear effect of foreign ownership on capital structure in Japan: A panel threshold analysis Zeitun, Rami

68 C p.
artikel
57 The relationship between yield curve components and equity sectorial indices: Evidence from China Umar, Zaghum

68 C p.
artikel
58 The way back home: Trading behaviours of foreign institutional investors in China amid the COVID-19 pandemic Zhang, Jinhua

68 C p.
artikel
59 Time-varying asymmetric tail dependence of international equities markets Zhou, Chunyang

68 C p.
artikel
60 Too-big-to-fail: The value of government guarantee Tsafack, Georges

68 C p.
artikel
61 Trade integration and research and development investment as a proxy for idiosyncratic risk in the cross-section of stock returns Galicia-Sanguino, Lucía

68 C p.
artikel
62 Uncertainty, venture capital and entrepreneurial enterprise innovation—Evidence from companies listed on China's GEM Chu, Chien-Chi

68 C p.
artikel
63 Vertical interlock and stock price crash risk Yang, Chang

68 C p.
artikel
64 What factors are associated with stock price jumps in high frequency? Ahn, Yongkil

68 C p.
artikel
                             64 gevonden resultaten
 
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