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                             24 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 Analyst valuation and corporate value discovery Laih, Yih-Wenn
2015
35 C p. 235-248
14 p.
artikel
2 A note on market timing: Interim trading and the performance of holdings-based and return-based measures Matallín-Sáez, Juan Carlos
2015
35 C p. 90-99
10 p.
artikel
3 Bank relationships and the likelihood of filing for reorganization Huang, Jiang-Chuan
2015
35 C p. 278-291
14 p.
artikel
4 Cash-futures basis and the impact of market maturity, informed trading, and expiration effects Chang, Charles
2015
35 C p. 197-213
17 p.
artikel
5 Effects of financial developments and income on energy consumption Chang, Shu-Chen
2015
35 C p. 28-44
17 p.
artikel
6 Endogenous choice of strategic incentives in a mixed duopoly with a new managerial delegation contract for the public firm Nakamura, Yasuhiko
2015
35 C p. 262-277
16 p.
artikel
7 Equity funds in emerging Asia: Does size matter? Ding, Haoyuan
2015
35 C p. 149-165
17 p.
artikel
8 European exchange rate regimes and purchasing power parity: An empirical study on eleven eurozone countries Huang, Chao-Hsi
2015
35 C p. 100-109
10 p.
artikel
9 Examining the exchange rate regime–monetary policy autonomy nexus: Evidence from Malaysia Goh, Soo Khoon
2015
35 C p. 292-303
12 p.
artikel
10 Financial flows and per capita income in developing countries Anwar, Sajid
2015
35 C p. 304-314
11 p.
artikel
11 Foreign exchange market efficiency and profitability of trading rules: Evidence from a developing country Katusiime, Lorna
2015
35 C p. 315-332
18 p.
artikel
12 Granger causality between debt and growth: Evidence from OECD countries Puente-Ajovín, Miguel
2015
35 C p. 66-77
12 p.
artikel
13 Importer-specific elasticities of demand: Evidence from U.S. exports Yilmazkuday, Hakan
2015
35 C p. 228-234
7 p.
artikel
14 International factor mobility, elasticity of substitution in production and the skilled–unskilled wage gap Zhang, Jingjing
2015
35 C p. 122-129
8 p.
artikel
15 Liquidity, delistings, and credit risk premium Kuo, Su-Wen
2015
35 C p. 78-89
12 p.
artikel
16 Managing extreme risk in some major stock markets: An extreme value approach Karmakar, Madhusudan
2015
35 C p. 1-25
25 p.
artikel
17 Measuring sovereign risk contagion in the Eurozone Suh, Sangwon
2015
35 C p. 45-65
21 p.
artikel
18 Money growth and inflation in China: New evidence from a wavelet analysis Jiang, Chun
2015
35 C p. 249-261
13 p.
artikel
19 [No title] Groff, James E.
2015
35 C p. 26-
1 p.
artikel
20 Reserve option mechanism as a stabilizing policy tool: Evidence from exchange rate expectations Değerli, Ahmet
2015
35 C p. 166-179
14 p.
artikel
21 Sentiment-prone investors and volatility dynamics between spot and futures markets Corredor, Pilar
2015
35 C p. 180-196
17 p.
artikel
22 The dynamics of market volatility, market return, and equity fund flow: International evidence Lee, Bong Soo
2015
35 C p. 214-227
14 p.
artikel
23 The net foreign asset position and government size Erauskin, Iñaki
2015
35 C p. 130-148
19 p.
artikel
24 The role of firm ownership in policy competition for foreign direct investment between asymmetric countries Sanjo, Yasuo
2015
35 C p. 110-121
12 p.
artikel
                             24 gevonden resultaten
 
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