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                             27 results found
no title author magazine year volume issue page(s) type
1 An alternative view of the US price–dividend ratio dynamics Londono, Juan M.
2015
38 C p. 291-307
17 p.
article
2 An analysis of policy harmonization on privatization and trade liberalization Wang, Chia-Chi
2015
38 C p. 279-290
12 p.
article
3 Assessing the idiosyncratic risk and stock returns relation in heteroskedasticity corrected predictive models using quantile regression Nath, Harmindar B.
2015
38 C p. 94-111
18 p.
article
4 Change point detection for subprime crisis in American banking: From the perspective of risk dependence Zhu, Xiaoqian
2015
38 C p. 18-28
11 p.
article
5 Common macroeconomic shocks and business cycle fluctuations in Euro area countries Cavallo, Antonella
2015
38 C p. 377-392
16 p.
article
6 Corporate governance, product market competition and dynamic capital structure Chang, Ya-Kai
2015
38 C p. 44-55
12 p.
article
7 Determinants of systemic risk and information dissemination Bianconi, Marcelo
2015
38 C p. 352-368
17 p.
article
8 Equity premia and state-dependent risks Bouaddi, Mohammed
2015
38 C p. 393-409
17 p.
article
9 Exchange listing type and firm financial reporting behavior Lin, Wen-Chun
2015
38 C p. 234-249
16 p.
article
10 Financial-integration thresholds for consumption risk-sharing Malik, Samreen
2015
38 C p. 73-93
21 p.
article
11 Financial policy and insurance development: Do financial reforms matter and how? Lee, Chien-Chiang
2015
38 C p. 258-278
21 p.
article
12 Forecasting sectorial profitability and credit spreads using bond yields Saar, Dan
2015
38 C p. 29-43
15 p.
article
13 Granger causality from exchange rates to fundamentals: What does the bootstrap test show us? Ko, Hsiu-Hsin
2015
38 C p. 198-206
9 p.
article
14 Intertemporal risk–return relationships in bull and bear markets Wu, Shue-Jen
2015
38 C p. 308-325
18 p.
article
15 On economic growth and investment income taxation in a creative region Donovan, Pierce J.
2015
38 C p. 67-72
6 p.
article
16 On the directional accuracy of forecasts of emerging market exchange rates Pierdzioch, Christian
2015
38 C p. 369-376
8 p.
article
17 Should bank loan portfolio be diversified under government capital injection and deposit insurance fund protection? Chen, Shi
2015
38 C p. 131-141
11 p.
article
18 Strategic capacity expansion under a potential entry threat Kamoto, Shinsuke
2015
38 C p. 157-177
21 p.
article
19 Taxation of labour, product varieties and skilled–unskilled wage inequality: Short run versus long run Sun, Sizhong
2015
38 C p. 250-257
8 p.
article
20 Testing for current account sustainability under assumptions of smooth break and nonlinearity Chen, Shyh-Wei
2015
38 C p. 142-156
15 p.
article
21 The co-movement and causality between the U.S. housing and stock markets in the time and frequency domains Li, Xiao-Lin
2015
38 C p. 220-233
14 p.
article
22 The effects of business cycle and debt maturity on a firm's investment and default decisions Jeon, Haejun
2015
38 C p. 326-351
26 p.
article
23 The impact of leverage on the idiosyncratic risk and return relationship of REITs around the financial crisis Gerlach, Richard
2015
38 C p. 207-219
13 p.
article
24 The pricing of liquidity risk on the Shanghai stock market Ho, Tsung-wu
2015
38 C p. 112-130
19 p.
article
25 The small-cap effect in the predictability of individual stock returns Semenov, Andrei
2015
38 C p. 178-197
20 p.
article
26 Time-varying nature and macroeconomic determinants of exchange rate pass-through Ozkan, Ibrahim
2015
38 C p. 56-66
11 p.
article
27 Transparent rules for deposing central bankers Arayssi, Mahmoud
2015
38 C p. 1-17
17 p.
article
                             27 results found
 
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