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                             64 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 Assessing jump and cojumps in financial asset returns with applications in futures markets Yeh, Jin-Huei

82 C p.
artikel
2 Banking deregulation and export product quality Qiu, Guojing

82 C p.
artikel
3 Bank liquidity hoarding and bank systemic risk: The moderating effect of economic policy uncertainty Lu, Yiming

82 C p.
artikel
4 Capital account liberalization and corporate maturity mismatch: The role of bank competition Si, Deng-Kui

82 C p.
artikel
5 Capital market liberalization and systemic risk of non-financial firms: Evidence from Chinese Stock Connect scheme Li, Xiao-Lin

82 C p.
artikel
6 Charitable CEOs and employee protection Du, Yao

82 C p.
artikel
7 Comparing competing factor and characteristics models: Evidence in Japan Chou, Pin-Huang

82 C p.
artikel
8 Corporate market power and monetary policy transmission in Asia Renzhi, Nuobu

82 C p.
artikel
9 Correlation-based investment strategies: A comparison between Chinese and US stock markets Zhang, Zhehao

82 C p.
artikel
10 Does disclosure of customers' identities benefit a company's performance in the product market? Evidence from China Xie, Huailing

82 C p.
artikel
11 Does green finance reform promote corporate green innovation? Evidence from China Jia, Junsheng

82 C p.
artikel
12 Does mandatory operating information disclosure affect stock price crash risk? Evidence from China Meng, Qingxi

82 C p.
artikel
13 Does price limit improve price discovery? Evidence from IPO market in a quasi-natural experiment Wang, Yuchen

82 C p.
artikel
14 Does the mixed-ownership reform of Chinese state-owned enterprises improves their total factor productivity? Zhang, Shijin

82 C p.
artikel
15 Do fund managers' tones predict future performance? Evidence from China Liu, Xiaoming

82 C p.
artikel
16 Economic shocks, M&A advisors, and industry takeover activity Feng, Yun

82 C p.
artikel
17 Editorial Board
82 C p.
artikel
18 Expectation disarray: Analysts' growth forecast anomaly in China Liu, Laura Xiaolei

82 C p.
artikel
19 Extreme illiquidity and stock returns: Evidence from Thailand market Chen, Xi

82 C p.
artikel
20 Factors and anomalies in the Vietnamese stock market Huang, Xiangqian

82 C p.
artikel
21 February, share turnover, and momentum in China George, Thomas J.

82 C p.
artikel
22 Financial advisor's covert discrimination against long-term clients Wang, Chenhao

82 C p.
artikel
23 High-frequency traders’ evolving role as market makers Banerjee, Anirban

82 C p.
artikel
24 How does digital inclusive finance promote the financial performance of Chinese cultural enterprises? Zhang, Weiwei

82 C p.
artikel
25 How does export VAT rebates policy affect corporate investment efficiency? Evidence from corporate tax stickiness Wang, Xinyi

82 C p.
artikel
26 Information technology empowerment and corporate budget control: Evidence from China Shu, Wei

82 C p.
artikel
27 Institutional ownership and corporate greenhouse gas emissions: The evidence from China Ren, Xingzi

82 C p.
artikel
28 Interlinkages between stability, carbon emissions and the ESG disclosures: Global evidence from banking industry Ali, Mohsin

82 C p.
artikel
29 International stock return predictability: The role of U.S. uncertainty spillover Jiang, Fuwei

82 C p.
artikel
30 Is attention-based stock buying profitable? Empirical evidence from Chinese individual investors Chen, Chen

82 C p.
artikel
31 Is corporate environmental investment a strategic risk management tool? Evidence from short selling threats Zhou, Yankun

82 C p.
artikel
32 Machine learning, anomalies, and the expected market return: Evidence from China Du, Qingjie

82 C p.
artikel
33 Momentum and individual investor trades: Evidence from Singapore Hameed, Allaudeen

82 C p.
artikel
34 Momentum: Evidence and insights 30 years later Jegadeesh, Narasimhan

82 C p.
artikel
35 Momentum in machine learning: Evidence from the Taiwan stock market Bui, Dien Giau

82 C p.
artikel
36 Momentum investing and a tale of intraday and overnight returns: Evidence from Taiwan Ho, Hsiao-Wei

82 C p.
artikel
37 Momentum, reversals and liquidity: Indian evidence Chui, Andy

82 C p.
artikel
38 Mood seasonality around the globe Atilgan, Yigit

82 C p.
artikel
39 Multidimensional connectedness among the volatility of global financial markets around the Russian-Ukrainian conflict Yousaf, Imran

82 C p.
artikel
40 Not all market participants are alike when facing crisis: Evidence from the 2015 Chinese stock market turbulence Sui, Cong

82 C p.
artikel
41 Ownership structure and eco-innovation: Evidence from Chinese family firms Wang, Fangjun

82 C p.
artikel
42 Political corruption and green innovation Quan, Xiaofeng

82 C p.
artikel
43 Prudential regulation and bank performance: Evidence from China He, Dongwei

82 C p.
artikel
44 Research ideas matter: Guidance for research students and early career researchers Duncan, Keith

82 C p.
artikel
45 Resurrecting the market factor: A case of data mining across international markets Hoang, Khoa

82 C p.
artikel
46 Return predictability of short-selling and financial distress firms: Evidence from Korean stock market Wang, Shu-Feng

82 C p.
artikel
47 Risk factors in the Indonesian stock market Li, Nanqi

82 C p.
artikel
48 Robot adoption and firm's capacity utilization: Evidence from China Wang, Hua

82 C p.
artikel
49 Special issue to honor Jegadeesh and Titman's (1993) landmarked momentum paper: Preface and selective views on empirical asset pricing research in emerging markets Chui, Andy C.W.

82 C p.
artikel
50 Star CEOs and investment efficiency: Evidence from China Zhang, Lida

82 C p.
artikel
51 Supply chain risk disclosure and seasoned equity offering discount Li, Yanqiong

82 C p.
artikel
52 Systemically important financial institutions and drivers of systemic risk: Evidence from India Narayan, Shivani

82 C p.
artikel
53 Technical trading rules, loss avoidance, and the business cycle Ergun, Lerby

82 C p.
artikel
54 The asymmetric innovation effects of heterogeneous government subsidies: A new perspective from GDP target deviation Tang, Dapeng

82 C p.
artikel
55 The bright and dark sides of minority shareholder protection: Evidence from the separate vote counts disclosure rule in China Cai, Guowei

82 C p.
artikel
56 The effect of capitalization on the competition-stability Nexus: Evidence from dual banking systems Ernaningsih, Indria

82 C p.
artikel
57 The journey is the reward: A study of corporate site visits and mutual fund performance Zhuang, Zhuang

82 C p.
artikel
58 The pre-IPO dividend and IPO underpricing: Evidence from China Wang, Jiaxin

82 C p.
artikel
59 The return predictability of carbon emissions: Evidence from Hong Kong and Singapore Cao, Jie

82 C p.
artikel
60 The value of communication during pandemics Liu, Qingfu

82 C p.
artikel
61 Uneasy lies the head that wears a crown: Firm network status and market response to negative rumors Fan, Michelle Xiaomin

82 C p.
artikel
62 Venture capital firms' lead orientation and entry to new investment markets Hu, Xiao

82 C p.
artikel
63 Why did a bank with good governance perform worse during the financial crisis? The views of shareholder and stakeholder orientations Wu, Meng-Wen

82 C p.
artikel
64 Will geopolitical risks only inhibit corporate investment? Evidence from China Lai, Fujun

82 C p.
artikel
                             64 gevonden resultaten
 
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