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                             25 results found
no title author magazine year volume issue page(s) type
1 A dynamic network DEA model for accounting and financial indicators: A case of efficiency in MENA banking Wanke, Peter
2019
61 C p. 52-68
article
2 A fuzzy-set analysis of conditions influencing mutual fund performance Graham, J. Edward
2019
61 C p. 324-336
article
3 A sectoral analysis of asymmetric nexus between oil price and stock returns Salisu, Afees A.
2019
61 C p. 241-259
article
4 A theory of political connections and financial outcomes O'Connor Keefe, Michael
2019
61 C p. 108-127
article
5 Bayesian return forecasts using realised range and asymmetric CARR model with various distribution assumptions Chan, Jennifer So-Kuen
2019
61 C p. 188-212
article
6 Cash holding and over-investment behavior in firms with problem directors Bhuiyan, Md Borhan Uddin
2019
61 C p. 35-51
article
7 Central bank losses and monetary policy rules: A DSGE investigation Benchimol, Jonathan
2019
61 C p. 289-303
article
8 Does trade credit alleviate stock price synchronicity? Evidence from China Liu, Huan
2019
61 C p. 141-155
article
9 Does underwriter rating matter? Evidence from seasoned equity offerings in an emerging market Wang, Xiongyuan
2019
61 C p. 17-34
article
10 Dynamics of deterioration in internal control reported under SOX 404 Chen, Chunhua
2019
61 C p. 228-240
article
11 Economic resilience and social capital of the Italian region Sabatino, Michele
2019
61 C p. 355-367
article
12 Editorial Board 2019
61 C p. ii
article
13 Financial conditions and economic growth Inekwe, John Nkwoma
2019
61 C p. 128-140
article
14 Financial development, inequality, and poverty: Some international evidence Zhang, Ruixin
2019
61 C p. 1-16
article
15 How do regulatory ability and bank competition affect the adoption of explicit deposit insurance scheme and banks’ risk-taking behavior? Qian, Ningyu
2019
61 C p. 69-90
article
16 Insecure resources, rent seeking, and wage inequality Pi, Jiancai
2019
61 C p. 260-269
article
17 Long-term interest rates in Europe: A fractional cointegration analysis Caporale, Guglielmo Maria
2019
61 C p. 170-178
article
18 Oil prices, stock markets and firm performance: Evidence from Europe Bagirov, Miramir
2019
61 C p. 270-288
article
19 Peer effects on corporate cash holdings Chen, Yi-Wen
2019
61 C p. 213-227
article
20 Predicting failure in the U.S. banking sector: An extreme gradient boosting approach Carmona, Pedro
2019
61 C p. 304-323
article
21 Short selling restrictions and index futures pricing: Evidence from China Lepone, Andrew
2019
61 C p. 179-187
article
22 Stability in mutual fund performance rankings: A new proposal Grau-Carles, Pilar
2019
61 C p. 337-346
article
23 Stress test impact and bank risk profile: Evidence from macro stress testing in Europe Gambetta, Nicolás
2019
61 C p. 347-354
article
24 The role of real options in the takeover premia in mergers and acquisitions Barbopoulos, Leonidas G.
2019
61 C p. 91-107
article
25 The time-varying spillover effect between WTI crude oil futures returns and hedge funds Zhang, Yue-Jun
2019
61 C p. 156-169
article
                             25 results found
 
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