nr |
titel |
auteur |
tijdschrift |
jaar |
jaarg. |
afl. |
pagina('s) |
type |
1 |
Acknowledgements
|
|
|
1993 |
|
2 |
p. 194- 1 p. |
artikel |
2 |
A cointegration test of the impact of foreign exchange rates on U.S. stock market prices
|
Ratner, Mitchell |
|
1993 |
|
2 |
p. 93-101 9 p. |
artikel |
3 |
A comparison of the financial characteristics of U.S. and Japanese manufacturing firms
|
Meric, Ilhan |
|
1994 |
|
2 |
p. 205-218 14 p. |
artikel |
4 |
Acquiring foreign equity assets without currency risk
|
Wang, Ming-Chieh |
|
2004 |
|
2 |
p. 139-146 8 p. |
artikel |
5 |
ADRs under momentum and contrarian strategies
|
Parhizgari, A.M. |
|
2008 |
|
2 |
p. 102-122 21 p. |
artikel |
6 |
A future global economy to be built by BRICs
|
Cheng, Hui Fang |
|
2007 |
|
2 |
p. 143-156 14 p. |
artikel |
7 |
A global perspective of P/E ratio determinants: The case of ADRs
|
Nikbakht, Ehsan |
|
1998 |
|
2 |
p. 253-267 15 p. |
artikel |
8 |
An analysis of currency crisis in South Korea
|
Puri, Tribhuvan N. |
|
2002 |
|
2 |
p. 121-146 26 p. |
artikel |
9 |
An application of four foreign currency forecasting models to the U.S. dollar and Mexican peso
|
Mehran, Jamshid |
|
1997 |
|
2 |
p. 211-220 10 p. |
artikel |
10 |
An empirical study of bank efficiency in China after WTO accession
|
Yin, Haiyan |
|
2013 |
|
2 |
p. 153-170 18 p. |
artikel |
11 |
A new approach to the problem of harmonizing international accounting reports
|
Bazaz, Mohammed S. |
|
1995 |
|
2 |
p. 155-173 19 p. |
artikel |
12 |
An examination of the distribution of intra-daily exchange rate changes
|
Kwok, Chuck C.Y. |
|
1992 |
|
2 |
p. 115-135 21 p. |
artikel |
13 |
An investor sentiment barometer — Greek Implied Volatility Index (GRIV)
|
Siriopoulos, Costas |
|
2012 |
|
2 |
p. 77-93 17 p. |
artikel |
14 |
Announcements of bonus share options: Signalling of the quality of firms
|
Balachandran, Balasingham |
|
2005 |
|
2 |
p. 180-190 11 p. |
artikel |
15 |
A note on accounting exposure and the value of multinational corporations
|
Martin, Anna D. |
|
1998 |
|
2 |
p. 269-277 9 p. |
artikel |
16 |
A performance evaluation of global equity mutual funds: Evidence from 1988–1995
|
Shukla, Ravi |
|
1997 |
|
2 |
p. 279-293 15 p. |
artikel |
17 |
Asymmetric volatility and trading volume: The G5 evidence
|
Sabbaghi, Omid |
|
2011 |
|
2 |
p. 169-181 13 p. |
artikel |
18 |
A test of the stability of exchange rate risk
|
Di Iorio, Amalia |
|
2001 |
|
2 |
p. 179-203 25 p. |
artikel |
19 |
Australia's home bias and cross border taxation
|
Mishra, Anil V. |
|
2014 |
|
2 |
p. 108-123 16 p. |
artikel |
20 |
Banking with the Poor
|
|
|
1993 |
|
2 |
p. 189-190 2 p. |
artikel |
21 |
Banks in the board room: The American versus Japanese and German experiences
|
Kester, W.Carl |
|
1994 |
|
2 |
p. 181-204 24 p. |
artikel |
22 |
Benefits from diversification and currency hedging of international equity investments: different countries' viewpoints
|
Soenen, Luc A. |
|
1992 |
|
2 |
p. 145-158 14 p. |
artikel |
23 |
Black market and official exchange rates, cointegration and purchasing power parity in developing Asian countries
|
Sundar, Cuddalore |
|
1997 |
|
2 |
p. 221-238 18 p. |
artikel |
24 |
Business-cycle fluctuations and international equity correlations
|
Kizys, Renatas |
|
2006 |
|
2 |
p. 252-270 19 p. |
artikel |
25 |
Causality between banking and currency fragilities: A dynamic panel model
|
Shen, Chung-Hua |
|
2008 |
|
2 |
p. 85-101 17 p. |
artikel |
26 |
Causal relations among stock returns, inflation: Persistence of international mutual fund performance
|
Bers, Martina K. |
|
1998 |
|
2 |
p. 225-240 16 p. |
artikel |
27 |
Characteristics of Japanese finance: A review and introduction
|
Aggarwal, Raj |
|
1994 |
|
2 |
p. 141-167 27 p. |
artikel |
28 |
Cointegration, error-correction, and joint efficiency in forward and futures markets for major foreign currencies
|
Mishra, Banamber |
|
1992 |
|
2 |
p. 171-180 10 p. |
artikel |
29 |
Cointegration, forecasting and international stock prices
|
Crowder, William J. |
|
1998 |
|
2 |
p. 181-204 24 p. |
artikel |
30 |
Common stochastic trends and volatility in Asian-Pacific equity markets
|
Pan, Ming-Shiun |
|
1999 |
|
2 |
p. 161-172 12 p. |
artikel |
31 |
Co-movements of major European community stock markets: A vector autoregression analysis
|
Friedman, Joseph |
|
1997 |
|
2 |
p. 257-277 21 p. |
artikel |
32 |
Conditional beta: Evidence from Asian emerging markets
|
Durand, Robert B. |
|
2011 |
|
2 |
p. 130-153 24 p. |
artikel |
33 |
Contents
|
|
|
2002 |
|
2 |
p. iii-vi nvt p. |
artikel |
34 |
Convergence of total factor productivity among banks: Hong Kong's experience
|
Fung, Michael K. |
|
2010 |
|
2 |
p. 201-210 10 p. |
artikel |
35 |
Corporate derivative use and the composition of CEO compensation
|
Supanvanij, Janikan |
|
2010 |
|
2 |
p. 170-185 16 p. |
artikel |
36 |
Corporate governance: Toward converging models?
|
Jeffers, Esther |
|
2005 |
|
2 |
p. 221-232 12 p. |
artikel |
37 |
Corporate multinationalism, organizational learning, and market reaction to international joint ventures
|
Chang, Shao-Chi |
|
2002 |
|
2 |
p. 181-194 14 p. |
artikel |
38 |
Determinants of Japanese CEO compensation
|
Knight, Rainford M. |
|
1994 |
|
2 |
p. 169-180 12 p. |
artikel |
39 |
Determining appropriate international transfer prices: Economic and administrative rationales for using asset-based profit splits under section 482 of the U.S. tax code
|
Klemm, Rebecca J. |
|
1995 |
|
2 |
p. 111-119 9 p. |
artikel |
40 |
Dividend policy in Nordic listed firms
|
Brunzell, Tor |
|
2014 |
|
2 |
p. 124-135 12 p. |
artikel |
41 |
Does knowledge of finance mitigate the gender difference in financial risk-aversion?
|
Hibbert, Ann Marie |
|
2013 |
|
2 |
p. 140-152 13 p. |
artikel |
42 |
Domestic or international: Divestitures in Australian multinational corporations
|
Owen, Sian |
|
2006 |
|
2 |
p. 282-293 12 p. |
artikel |
43 |
Early unwinding of options-futures arbitrage with bid/ask quotations and transaction prices
|
Fung, Joseph K.W. |
|
2003 |
|
2 |
p. 121-133 13 p. |
artikel |
44 |
Economic exposure and hysteresis
|
Lee, Wayne Y |
|
2001 |
|
2 |
p. 217-235 19 p. |
artikel |
45 |
Editorial Board
|
|
|
2009 |
|
2 |
p. IFC- 1 p. |
artikel |
46 |
Editorial Board
|
|
|
2010 |
|
2 |
p. IFC- 1 p. |
artikel |
47 |
Editorial Board
|
|
|
2013 |
|
2 |
p. IFC- 1 p. |
artikel |
48 |
Editorial Board
|
|
|
2014 |
|
2 |
p. IFC- 1 p. |
artikel |
49 |
Editorial Board
|
|
|
2003 |
|
2 |
p. IFC- 1 p. |
artikel |
50 |
Editorial Board
|
|
|
2004 |
|
2 |
p. IFC- 1 p. |
artikel |
51 |
Editorial Board
|
|
|
2002 |
|
2 |
p. IFC- 1 p. |
artikel |
52 |
Editorial Board
|
|
|
2005 |
|
2 |
p. CO2- 1 p. |
artikel |
53 |
Editorial Board
|
|
|
2008 |
|
2 |
p. IFC- 1 p. |
artikel |
54 |
Editorial Board
|
|
|
2007 |
|
2 |
p. IFC- 1 p. |
artikel |
55 |
Editorial Board
|
|
|
2006 |
|
2 |
p. CO2- 1 p. |
artikel |
56 |
Editorial Board
|
|
|
2011 |
|
2 |
p. IFC- 1 p. |
artikel |
57 |
Editorial Board
|
|
|
2012 |
|
2 |
p. IFC- 1 p. |
artikel |
58 |
Effects of size and international exposure of the US firms on the relationship between stock prices and exchange rates
|
Vygodina, Anna V. |
|
2006 |
|
2 |
p. 214-223 10 p. |
artikel |
59 |
Efficiency of the foreign currency options market
|
Hoque, Ariful |
|
2008 |
|
2 |
p. 157-170 14 p. |
artikel |
60 |
E-finance
|
Herbst, Anthony F |
|
2001 |
|
2 |
p. 205-215 11 p. |
artikel |
61 |
Emerging market yield spreads: Domestic, external determinants, and volatility spillovers
|
Siklos, Pierre L. |
|
2011 |
|
2 |
p. 83-100 18 p. |
artikel |
62 |
Empirical analysis of real and financial volatilities on stock excess returns
|
Chiang, Thomas C. |
|
1999 |
|
2 |
p. 187-200 14 p. |
artikel |
63 |
Empirical study on relationship between persistence-free trading volume and stock return volatility
|
Fenghua, Wen |
|
2009 |
|
2 |
p. 119-127 9 p. |
artikel |
64 |
ERM effects on currency spot and futures markets
|
Inci, Ahmet Can |
|
2005 |
|
2 |
p. 145-163 19 p. |
artikel |
65 |
Erratum to “Systemic risk in the major Eurobanking markets: Evidence from inter-bank offered rates” [Global Finance Journal 16/2 128–166]
|
Simpson, J.L. |
|
2006 |
|
2 |
p. 334- 1 p. |
artikel |
66 |
Evolution of earnings-to-price ratios: International evidence
|
Eun, Cheol S. |
|
2010 |
|
2 |
p. 125-137 13 p. |
artikel |
67 |
Exchange rate regimes and international market segmentation: Evidence from pricing effects of international listings
|
Mahajan, Arvind |
|
1996 |
|
2 |
p. 153-168 16 p. |
artikel |
68 |
Export finance skills for the U.S. and Japanese markets
|
Ross, Donald G |
|
2002 |
|
2 |
p. 109-120 12 p. |
artikel |
69 |
Factors affecting cross-border mergers and acquisitions: The Canada-U.S. experience
|
Vasconcellos, Geraldo M. |
|
1996 |
|
2 |
p. 223-238 16 p. |
artikel |
70 |
Financial market liberalization and stock market efficiency: Evidence from the Athens Stock Exchange
|
Laopodis, Nikiforos T. |
|
2004 |
|
2 |
p. 103-123 21 p. |
artikel |
71 |
Financial ratios in Japanese and U.S. firms: A comparison of distributional characteristics
|
Constand, Richard L. |
|
1994 |
|
2 |
p. 237-264 28 p. |
artikel |
72 |
Forecasting exchange rates
|
Eun, Cheol S. |
|
2002 |
|
2 |
p. 195-215 21 p. |
artikel |
73 |
Forecasting Value-at-Risk using high frequency data: The realized range model
|
Shao, Xi-Dong |
|
2009 |
|
2 |
p. 128-136 9 p. |
artikel |
74 |
Foreign direct investment: Evidence from capital market data
|
Strickland, Thomas H. |
|
1990 |
|
2 |
p. 153-162 10 p. |
artikel |
75 |
Foreign direct investment: The factors affecting the location of foreign branch plants in the United States
|
Friedman, Joseph |
|
1996 |
|
2 |
p. 209-222 14 p. |
artikel |
76 |
Foreign exchange exposure and the pricing of exchange rate risk
|
Fatemi, Ali M. |
|
1996 |
|
2 |
p. 169-189 21 p. |
artikel |
77 |
Foreign exchange market efficiency: Evidence from the Gulf War period
|
Biswas, Rita |
|
1997 |
|
2 |
p. 199-210 12 p. |
artikel |
78 |
Further evidence on the announcement effect of bonus shares in an imputation tax setting
|
Balachandran, Balasingham |
|
2004 |
|
2 |
p. 147-170 24 p. |
artikel |
79 |
Global finance journal
|
|
|
1993 |
|
2 |
p. 193- 1 p. |
artikel |
80 |
Global Finance Journal Index Volume 13, 2002
|
|
|
2002 |
|
2 |
p. 271-272 2 p. |
artikel |
81 |
Global Finance Journal Index Volume 12, 2001
|
|
|
2001 |
|
2 |
p. 309-311 3 p. |
artikel |
82 |
Hedging import commodity prices for BRICS nations
|
Ning, Zi “Nancy” |
|
2011 |
|
2 |
p. 182-190 9 p. |
artikel |
83 |
Hedging with Chinese metal futures
|
Lien, Donald |
|
2008 |
|
2 |
p. 123-138 16 p. |
artikel |
84 |
Impact of financial and multinational operations on manager perceptions of dividends
|
Baker, H. Kent |
|
2008 |
|
2 |
p. 171-186 16 p. |
artikel |
85 |
Impact of volatility estimation method on theoretical option values
|
Borkowski, Bolesław |
|
2013 |
|
2 |
p. 119-128 10 p. |
artikel |
86 |
Importance of political risk assessment function in U.S. multinational corporations
|
Hashmi, M.Anaam |
|
1992 |
|
2 |
p. 137-144 8 p. |
artikel |
87 |
Increasing input information and realistically measuring potential diversification gains from international portfolio investments
|
Phengpis, Chanwit |
|
2004 |
|
2 |
p. 197-217 21 p. |
artikel |
88 |
Index
|
|
|
1997 |
|
2 |
p. 325-327 3 p. |
artikel |
89 |
Index
|
|
|
1998 |
|
2 |
p. 281-283 3 p. |
artikel |
90 |
Index
|
|
|
1999 |
|
2 |
p. 247-248 2 p. |
artikel |
91 |
Index
|
|
|
1995 |
|
2 |
p. 197-199 3 p. |
artikel |
92 |
Index
|
|
|
1994 |
|
2 |
p. 291-293 3 p. |
artikel |
93 |
Information-based trade in the Shanghai stock market
|
Copeland, Laurence |
|
2009 |
|
2 |
p. 180-190 11 p. |
artikel |
94 |
Institutional investors' holdings surrounding equity rights offerings
|
De Ridder, Adri |
|
2012 |
|
2 |
p. 125-140 16 p. |
artikel |
95 |
International convergence of short-term and long-term interest rates: Theory and empirical tests
|
Kazemi, Hossein B. |
|
1997 |
|
2 |
p. 239-256 18 p. |
artikel |
96 |
International linkage of interest rates
|
Anoruo, Emmanuel |
|
2002 |
|
2 |
p. 217-235 19 p. |
artikel |
97 |
International loans and the risk-return behavior of commercial banks: Some evidence from the capital market
|
So, Jacky C. |
|
1995 |
|
2 |
p. 135-153 19 p. |
artikel |
98 |
International ownership structure and the firm value
|
Eun, Cheol S. |
|
1998 |
|
2 |
p. 149-171 23 p. |
artikel |
99 |
International real interest rate parity with error correction models
|
Byun, Jong-Cook |
|
1996 |
|
2 |
p. 129-151 23 p. |
artikel |
100 |
International transmission of stock exchange volatility: Empirical evidence from the Asian crisis
|
Fernández-Izquierdo, Ángeles |
|
2004 |
|
2 |
p. 125-137 13 p. |
artikel |
101 |
Investor protection and international equity portfolio investments
|
Poshakwale, Sunil S. |
|
2011 |
|
2 |
p. 116-129 14 p. |
artikel |
102 |
Is the CRISMA technical trading system profitable?
|
Marshall, Ben R. |
|
2006 |
|
2 |
p. 271-281 11 p. |
artikel |
103 |
Linkages between the U.S. and Japanese stock markets: A bivariate garch-m analysis
|
Theodossiou, Panayiotis |
|
1994 |
|
2 |
p. 277-287 11 p. |
artikel |
104 |
Long-term stock performance after open-market repurchases in Korea
|
Lee, Yong-Gyo |
|
2005 |
|
2 |
p. 191-209 19 p. |
artikel |
105 |
Macroeconomic derivatives: More viable than first thought!
|
Bansal, Vipul K. |
|
1995 |
|
2 |
p. 101-110 10 p. |
artikel |
106 |
Managerial power, compensation gap and firm performance — Evidence from Chinese public listed companies
|
Lin, Bing-Xuan |
|
2009 |
|
2 |
p. 153-164 12 p. |
artikel |
107 |
Market efficiency of floating exchange rate systems: Some evidence from Pacific-Asian countries
|
Al-Khazali, Osamah M. |
|
2011 |
|
2 |
p. 154-168 15 p. |
artikel |
108 |
Market impact of announcements of joint ventures between U.S. firms and eastern and central European countries: early evidence
|
Etebari, Ahmad |
|
1993 |
|
2 |
p. 103-123 21 p. |
artikel |
109 |
Market quality and price discovery: Introduction of the E-mini energy futures
|
Tse, Yiuman |
|
2005 |
|
2 |
p. 164-179 16 p. |
artikel |
110 |
Mean reversion and the forecasting of country betas
|
Gangemi, Michael |
|
1999 |
|
2 |
p. 231-245 15 p. |
artikel |
111 |
Measuring fair capital adequacy holdings for banks: The case of Taiwan
|
Yu, Min-Teh |
|
1996 |
|
2 |
p. 239-252 14 p. |
artikel |
112 |
Modeling country risk in Latin America: A country beta approach
|
Verma, Rahul |
|
2006 |
|
2 |
p. 192-213 22 p. |
artikel |
113 |
Modelling and forecasting temperature based weather derivatives
|
Svec, J. |
|
2007 |
|
2 |
p. 185-204 20 p. |
artikel |
114 |
Model selection for causal models: The global procedure with AICC and AICU
|
Lee, Shyan-Yuan |
|
1998 |
|
2 |
p. 205-223 19 p. |
artikel |
115 |
Money and equity returns in the Euro area
|
Heimonen, Kari |
|
2010 |
|
2 |
p. 152-169 18 p. |
artikel |
116 |
Multinationals and futures hedging under liquidity constraints
|
Lien, Donald |
|
2005 |
|
2 |
p. 210-220 11 p. |
artikel |
117 |
Mutual fund industry management structure, risk and the impacts to shareholders
|
Bryant, Lonnie L. |
|
2011 |
|
2 |
p. 101-115 15 p. |
artikel |
118 |
Nationality and risk attitude: Testing differences and similarities of investors' behavior in selected financial markets
|
Apartsin, Yevgenia |
|
2013 |
|
2 |
p. 114-118 5 p. |
artikel |
119 |
Neutrality of market neutral funds
|
Capocci, Daniel |
|
2006 |
|
2 |
p. 309-333 25 p. |
artikel |
120 |
Oil price risk and emerging stock markets
|
Basher, Syed A. |
|
2006 |
|
2 |
p. 224-251 28 p. |
artikel |
121 |
On the long run relationship between gold and silver prices A note
|
ciner, C. |
|
2001 |
|
2 |
p. 299-303 5 p. |
artikel |
122 |
On the relationship between stock returns and exchange rates: Tests of granger causality
|
Ajayi, Richard A. |
|
1998 |
|
2 |
p. 241-251 11 p. |
artikel |
123 |
Optimal hedging of stock portfolios against foreign exchange risk: theory and applications
|
Bailey, Warren |
|
1992 |
|
2 |
p. 97-113 17 p. |
artikel |
124 |
Overreaction and underreaction in the foreign exchange market
|
Larson, Stephen J |
|
2001 |
|
2 |
p. 153-177 25 p. |
artikel |
125 |
Overreaction in the Hong Kong stock market
|
Fung, Alexander Kwok-Wah |
|
1999 |
|
2 |
p. 223-230 8 p. |
artikel |
126 |
Parameter shifts when measuring wealth effects in cross-border mergers
|
Kiymaz, Halil |
|
2001 |
|
2 |
p. 249-266 18 p. |
artikel |
127 |
P/E multiples: Comparative evidence for Japan and the United States
|
Glen, Jack |
|
1994 |
|
2 |
p. 265-276 12 p. |
artikel |
128 |
Performance persistence of international mutual funds
|
Droms, William G |
|
2001 |
|
2 |
p. 237-248 12 p. |
artikel |
129 |
Political instability and country risk
|
Rivoli, Pietra |
|
1997 |
|
2 |
p. 309-321 13 p. |
artikel |
130 |
Power currency options
|
Tucker, Alan |
|
1997 |
|
2 |
p. 167-179 13 p. |
artikel |
131 |
Premiums and discounts in ETFs: An analysis of the arbitrage mechanism in domestic and international funds
|
Hilliard, Jitka |
|
2014 |
|
2 |
p. 90-107 18 p. |
artikel |
132 |
Price causal relations between China and the world oil markets
|
Chen, K.C. |
|
2009 |
|
2 |
p. 107-118 12 p. |
artikel |
133 |
Pricing of American Depositary Receipts under Market Segmentation
|
Fang, Hsing |
|
2002 |
|
2 |
p. 237-252 16 p. |
artikel |
134 |
Pricing of the Eurodollar bank rate
|
Ahmad, Sayed M. |
|
1993 |
|
2 |
p. 125-139 15 p. |
artikel |
135 |
Privatization and non-tradable stock reform in China
|
Guo, Enyang |
|
2009 |
|
2 |
p. 191-208 18 p. |
artikel |
136 |
Range-based multivariate volatility model with double smooth transition in conditional correlation
|
Chou, Ray Yeutien |
|
2009 |
|
2 |
p. 137-152 16 p. |
artikel |
137 |
Rational speculators and equity volatility as a measure of ex ante risk
|
Kia, Amir |
|
2003 |
|
2 |
p. 135-157 23 p. |
artikel |
138 |
Re-examining the small-cap myth
|
Griffiths, Mark D. |
|
1999 |
|
2 |
p. 201-221 21 p. |
artikel |
139 |
Services and the long-term profitability in Taiwan's banks
|
Liu, Yong-Chin |
|
2006 |
|
2 |
p. 177-191 15 p. |
artikel |
140 |
Shareholder wealth effects of common stock offerings
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