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                             49 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 A continuous-time macro-finance model with Knightian uncertainty Mao, Jie

77 C p.
artikel
2 An imprecise pricing model for Asian options based on Nonparametric predictive inference He, Ting

77 C p.
artikel
3 A shock to CEOs' external environment: terrorist attacks and CEO pay Bachmann, Rebecca L.

77 C p.
artikel
4 Asset pricing with two types of heterogeneous consumption volatilities in mind: Evidence from China Chen, Qi-An

77 C p.
artikel
5 Corporate social responsibility and insider trading profitability: Evidence from an emerging market Li, Tao

77 C p.
artikel
6 Culture and confidence in financial knowledge testing Ooi, Elizabeth

77 C p.
artikel
7 Dealership versus continuous auction: Evidence from the JASDAQ market Iwatsubo, Kentaro

77 C p.
artikel
8 Directors' and Officers' liability insurance and cross section of expected stock returns: A mispricing explanation Su, Xuan-Qi

77 C p.
artikel
9 Does corporate ESG create value? New evidence from M&As in China Zheng, Zhigang

77 C p.
artikel
10 Does engagement by large asset managers enhance governance of target firms? Hidaka, Wataru

77 C p.
artikel
11 Does gender diversity matter? Female directors and firm carbon emissions in Japan Fan, Pengda

77 C p.
artikel
12 Does market competition foster related party transactions? Evidence from emerging market Bansal, Shashank

77 C p.
artikel
13 Does short-term momentum exist in China? Yue, Tian

77 C p.
artikel
14 Do government provided credit ratings enhance or impede a firm's access to trade credit? Fan, Rui

77 C p.
artikel
15 Do listed companies fulfill their public commitments? Evidence from the stake-raising commitments of Chinese companies Feng, Yitian

77 C p.
artikel
16 Do manager characteristics matter in equity mutual fund performance? New evidence based on the double-adjusted alpha Lin, Jia-Hui

77 C p.
artikel
17 Economic policy uncertainty and mutual fund risk shifting Luo, Deming

77 C p.
artikel
18 Editorial Board
77 C p.
artikel
19 Equity costs and risks in emerging markets: Are ESG and Sharia principles complementary? Hassan, M. Kabir

77 C p.
artikel
20 ESG investment in China: Doing well by doing good Chen, Shu

77 C p.
artikel
21 Exploring the zoo of predictors for mutual fund performance in China Li, Zhiyong

77 C p.
artikel
22 Greening through central inspection: The role of legitimacy pressure and risk-taking Kopyrina, Olga

77 C p.
artikel
23 Heterogeneity in shareholder activism: Evidence from Japan Gillan, Stuart L.

77 C p.
artikel
24 Individual investment banker human capital and SEO discount: Evidence from China Lyu, Huaili

77 C p.
artikel
25 Influence of institutional differences on trade credit use during pandemics Zhang, Cheng

77 C p.
artikel
26 Information network, public disclosure and asset prices Luo, Ronghua

77 C p.
artikel
27 Is controlling shareholders' credit risk contagious to firms? — Evidence from China Li, Tangrong

77 C p.
artikel
28 Managerial discretion over initial earnings forecasts Iwasaki, Takuya

77 C p.
artikel
29 Managerial stock ownership, debt covenants, and the cost of debt Lin, Steve

77 C p.
artikel
30 Mandatory dividend policy and investment efficiency within state-owned business groups Kong, Dongmin

77 C p.
artikel
31 Modernising operational risk management in financial institutions via data-driven causal factors analysis: A pre-registered report Cornwell, Nikki

77 C p.
artikel
32 Over-weighting risk factor augmented with mutual fund managers' social networks Li, Xing

77 C p.
artikel
33 Pair analyst coverage and return comovement: Evidence from China Yi, Biao

77 C p.
artikel
34 Pricing implications of intervention and debt management in the primary market of Japanese government bonds Hosono, Kaoru

77 C p.
artikel
35 Shorting flows and return predictability in Taiwan Lin, Chaonan

77 C p.
artikel
36 Short selling, managerial alignment and corporate misconduct Yang, Jiefei

77 C p.
artikel
37 State-owned venture capitals and bank loans in China Wu, Long

77 C p.
artikel
38 The beta anomaly in the Australian stock market and the lottery demand Bradrania, Reza

77 C p.
artikel
39 The effect of Tobin's q on investment in a bank-based financial system: Evidence from Japan Sakawa, Hideaki

77 C p.
artikel
40 The effect of voluntary and mandatory corporate social responsibility disclosure on firm profitability: Evidence from China Xue, Shuyu

77 C p.
artikel
41 The extreme return connectedness between Sukuk and green bonds and their determinants and consequences for investors Billah, Mabruk

77 C p.
artikel
42 The impact of annual reports transparency and comment letters on the cost of debt: Evidence for China Zhu, Xiuli

77 C p.
artikel
43 The impact of central environmental inspection on institutional ownership: Evidence from Chinese listed firms Li, Quan

77 C p.
artikel
44 The impact of financial risk on green innovation: Global evidence Wen, Jun

77 C p.
artikel
45 The impact of the pitching research framework on AFAANZ grant applications Gill, Chelsea

77 C p.
artikel
46 The intra-regional spillover effects of bond defaults: Evidence from the Chinese corporate debt market Wang, Wenlong

77 C p.
artikel
47 The relationship between cash flow uncertainty and extreme risk: International evidence Wang, Chih-Wei

77 C p.
artikel
48 The value of family social capital in informal financial markets: Evidence from China Li, Wanning

77 C p.
artikel
49 Time-frequency relationship between economic policy uncertainty and financial cycle in China: Evidence from wavelet analysis Liu, Ding

77 C p.
artikel
                             49 gevonden resultaten
 
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