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                             39 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 A futures pricing model with long-term and short-term traders Gao, Bin

64 C p. 9-28
artikel
2 Ambiguity and capital structure adjustments Ban, Mingyuan

64 C p. 242-270
artikel
3 An analytical measure of market underreaction to earnings news Chung, Kee H.

64 C p. 612-624
artikel
4 A re-evaluation of the term spread as a leading indicator Plakandaras, Vasilios

64 C p. 476-492
artikel
5 Asset prices with stochastic volatilities and a UIP puzzle Lee, Eunhee

64 C p. 41-61
artikel
6 Bank regulation and efficiency: Evidence from transition countries Djalilov, Khurshid

64 C p. 308-322
artikel
7 Board gender diversity and the technical efficiency of microfinance institutions: Does size matter? Adusei, Michael

64 C p. 393-411
artikel
8 Can export tax rebate alleviate financial constraint to increase firm productivity? Evidence from China Zhang, Dongyang

64 C p. 529-540
artikel
9 Carry trades, agent heterogeneity and the exchange rate Li, Xiao-Ping

64 C p. 343-358
artikel
10 Comovement and disintegration of EU sovereign bond markets during the crisis Vácha, Lukáš

64 C p. 541-556
artikel
11 Comprehensive performance evaluation of banking branches: A three-stage slacks-based measure (SBM) data envelopment analysis Mahmoudabadi, Mohammad Zarei

64 C p. 359-376
artikel
12 Does analyst information influence the cost of debt? Some international evidence Ferrer, Elena

64 C p. 323-342
artikel
13 Do stock markets follow a random walk? New evidence for an old question Durusu-Ciftci, Dilek

64 C p. 165-175
artikel
14 Editorial Board
64 C p. ii
artikel
15 Effectiveness of capital account regulation: Lessons from Brazil and Peru Aguirre, Pablo

64 C p. 176-194
artikel
16 Financial development and the composition of government expenditure: Theory and cross-country evidence Chen, Zhigang

64 C p. 600-611
artikel
17 Financialization and commodity excess spillovers Liu, Lu

64 C p. 195-216
artikel
18 Financial systemic risk measurement based on causal network connectedness analysis Gong, Xiao-Li

64 C p. 290-307
artikel
19 Foreign aid, human capital acquisition and educated Unemployment:Fish or fishing Liu, Xiangbo

64 C p. 1-8
artikel
20 Global inflation dynamics and inflation expectations Feldkircher, Martin

64 C p. 217-241
artikel
21 Goodness of governance effect on European banking efficiency Pérez-Cárceles, María Concepción

64 C p. 29-40
artikel
22 How does the Chinese economy react to uncertainty in international crude oil prices? Cheng, Dong

64 C p. 147-164
artikel
23 Idiosyncratic risk, managerial discretion and capital structure Gan, Liu

64 C p. 586-599
artikel
24 Is CEO pay disparity relevant to seasoned bondholders? Huang, Guan-Ying

64 C p. 271-289
artikel
25 Legal systems and the financing of working capital Troilo, Michael

64 C p. 641-656
artikel
26 Market structure, performance, and efficiency: Evidence from the MENA banking sector González, Luis Otero

64 C p. 84-101
artikel
27 Price discovery in the price disagreement between equity and option markets: Evidence from SSE ETF50 options of China Liu, Dehong

64 C p. 557-571
artikel
28 Swarm intelligence? Stock opinions of the crowd and stock returns Breitmayer, Bastian

64 C p. 443-464
artikel
29 The cost of speaking in two tongues Xing, Cunyu

64 C p. 465-475
artikel
30 The dynamics of finance-growth nexus in advanced economies Swamy, Vighneswara

64 C p. 122-146
artikel
31 The economic sources of China's CSI 300 spot and futures volatilities before and after the 2015 stock market crisis Chen, Qiang

64 C p. 102-121
artikel
32 The effects of economic policy uncertainty on outward foreign direct investment Hsieh, Hui-Ching

64 C p. 377-392
artikel
33 The information content of realized volatility of sector indices in China’s stock market Lin, Tiantian

64 C p. 625-640
artikel
34 The interaction of quantity and quality of finance: Did it make industries more resilient to the recent global financial crisis? Mirzaei, Ali

64 C p. 493-512
artikel
35 Trading hours extension and intraday price behavior Miwa, Kotaro

64 C p. 572-585
artikel
36 Transmission of uncertainty shocks: Learning from heterogeneous responses on a panel of EU countries Claeys, Peter

64 C p. 62-83
artikel
37 Volatility information trading in the index options market: An intraday analysis Yang, Heejin

64 C p. 412-426
artikel
38 What is the real relationship between cash holdings and stock returns? Chuan ‘Chewie’ Ang, Tze

64 C p. 513-528
artikel
39 Women on boards, firm risk and the profitability nexus: Does gender diversity moderate the risk and return relationship? Nadeem, Muhammad

64 C p. 427-442
artikel
                             39 gevonden resultaten
 
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