Digitale Bibliotheek
Sluiten Bladeren door artikelen uit een tijdschrift
     Tijdschrift beschrijving
       Alle jaargangen van het bijbehorende tijdschrift
         Alle afleveringen van het bijbehorende jaargang
                                       Alle artikelen van de bijbehorende aflevering
 
                             32 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 Asymmetric adjustment and smooth breaks in dividend yields: Evidence from international stock markets Chen, Shyh-Wei
2017
48 C p. 339-354
16 p.
artikel
2 Causality between oil prices and the stock market in China: The relevance of the reformed oil product pricing mechanism Bouri, Elie
2017
48 C p. 34-48
15 p.
artikel
3 Choices and impacts of cross-licensing contracts Zhao, Dan
2017
48 C p. 389-405
17 p.
artikel
4 Cost efficiency and technological gap in Western European banks: A stochastic metafrontier analysis Lee, Chi-Chuan
2017
48 C p. 161-178
18 p.
artikel
5 Different strokes by different folks: The dynamics of hedge fund systematic risk exposure and performance Huang, Ying Sophie
2017
48 C p. 367-388
22 p.
artikel
6 Dividends and earnings quality: Evidence from China Deng, Lu
2017
48 C p. 255-268
14 p.
artikel
7 Do cay and cayMS predict stock and housing returns? Evidence from a nonparametric causality test Balcilar, Mehmet
2017
48 C p. 269-279
11 p.
artikel
8 Does fairness breed efficiency? Pay gap and firm productivity in China Dai, Yunhao
2017
48 C p. 406-422
17 p.
artikel
9 Does gold hedge stock market, inflation and exchange rate risks? An econometric investigation Iqbal, Javed
2017
48 C p. 1-17
17 p.
artikel
10 Dynamic conditional correlations between Chinese sector returns and the S&P 500 index: An interpretation based on investment shocks Kim, Myeong Hyeon
2017
48 C p. 309-325
17 p.
artikel
11 Exchange rate pass through, cost channel to monetary policy transmission, adaptive learning, and the price puzzle Ali, Syed Zahid
2017
48 C p. 69-82
14 p.
artikel
12 Financial crises and the nature of correlation between commodity and stock markets Öztek, Mehmet Fatih
2017
48 C p. 56-68
13 p.
artikel
13 Foreign capital, pollution control, and wage inequality in developing countries Pi, Jiancai
2017
48 C p. 280-288
9 p.
artikel
14 How does banking sector globalization affect economic growth? Ghosh, Amit
2017
48 C p. 83-97
15 p.
artikel
15 Inflation and consumption of nontradable goods: Global implications from regional analyses Nagayasu, Jun
2017
48 C p. 478-491
14 p.
artikel
16 Investor attention and the expected returns of reits Yung, Kenneth
2017
48 C p. 423-439
17 p.
artikel
17 Is the price path learnable under a fixed exchange rate regime? Lin, Yo-Long
2017
48 C p. 355-366
12 p.
artikel
18 Liquidity basis between credit default swaps and corporate bonds markets Kim, Kwanho
2017
48 C p. 98-115
18 p.
artikel
19 Macroeconomic factors and index option returns Lai, Ya-Wen
2017
48 C p. 452-477
26 p.
artikel
20 Measuring uncertainty in the stock market Chuliá, Helena
2017
48 C p. 18-33
16 p.
artikel
21 Nonlinear relationship between institutional factors and FDI flows: Dynamic panel threshold analysis Kurul, Zühal
2017
48 C p. 148-160
13 p.
artikel
22 Optimal capital structure with moral hazard Mu, Congming
2017
48 C p. 326-338
13 p.
artikel
23 Overnight returns of stock indexes: Evidence from ETFs and futures Liu, Qingfu
2017
48 C p. 440-451
12 p.
artikel
24 Overvaluation and the cost of bank debt Chiou, Chyi-Lun
2017
48 C p. 235-254
20 p.
artikel
25 Product-market competitiveness and investor reaction to corporate governance failures Gupta, Atul
2017
48 C p. 134-147
14 p.
artikel
26 Strategic risk-taking and value creation: Evidence from the market for corporate control Hegde, Shantaram P.
2017
48 C p. 212-234
23 p.
artikel
27 Sudden stops of capital flows to emerging markets: A new prediction approach Suh, Sangwon
2017
48 C p. 289-308
20 p.
artikel
28 The German motor vehicle industry: Costs and crisis Truett, Lila J.
2017
48 C p. 49-55
7 p.
artikel
29 The growth effects of financial openness and exchange rates Rodriguez, Cesar M.
2017
48 C p. 492-512
21 p.
artikel
30 The IA-CEPA and sector adjustments: A specific-factors model of production Toledo, Hugo
2017
48 C p. 201-211
11 p.
artikel
31 Time-varying return predictability in South Asian equity markets Rahman, Md. Lutfur
2017
48 C p. 179-200
22 p.
artikel
32 Underfunding or distress? An analysis of corporate pension underfunding and the cross-section of expected stock returns Tao, Qizhi
2017
48 C p. 116-133
18 p.
artikel
                             32 gevonden resultaten
 
 Koninklijke Bibliotheek - Nationale Bibliotheek van Nederland