nr |
titel |
auteur |
tijdschrift |
jaar |
jaarg. |
afl. |
pagina('s) |
type |
1 |
A bibliometric review of takaful literature
|
Khan, Ashraf |
|
|
69 |
C |
p. 389-405 |
artikel |
2 |
Alternative explanation of the money illusion: The effect of unexpected low inflation
|
Tsai, I-Chun |
|
|
69 |
C |
p. 110-123 |
artikel |
3 |
An alternative explanation for high saving in China: Rising inequality
|
Gu, Xinhua |
|
|
69 |
C |
p. 1082-1094 |
artikel |
4 |
Are better-governed firms more innovative? Evidence from Korea
|
Choi, Paul Moon Sub |
|
|
69 |
C |
p. 263-279 |
artikel |
5 |
Are there any other safe haven assets? Evidence for “exotic” and alternative assets
|
Dimitriou, Dimitrios |
|
|
69 |
C |
p. 614-628 |
artikel |
6 |
A sentiment index to measure sovereign risk using Google data
|
González-Fernández, Marcos |
|
|
69 |
C |
p. 406-418 |
artikel |
7 |
A survey on the magnet effect of circuit breakers in financial markets
|
Sifat, Imtiaz Mohammad |
|
|
69 |
C |
p. 138-151 |
artikel |
8 |
Bank survival in Central and Eastern Europe
|
Kočenda, Evžen |
|
|
69 |
C |
p. 860-878 |
artikel |
9 |
Cash-in-advance, export decision and financial constraints: Evidence from cross-country firm-level data
|
Doan, Ngoc Thang |
|
|
69 |
C |
p. 75-92 |
artikel |
10 |
CBOE VIX and Jump-GARCH option pricing models
|
Yoo, Eun Gyu |
|
|
69 |
C |
p. 839-859 |
artikel |
11 |
China’s business cycles at the provincial level: National synchronization, interregional coordination and provincial idiosyncrasy
|
Liu, Dayu |
|
|
69 |
C |
p. 629-650 |
artikel |
12 |
Co-movement across european stock and real estate markets
|
Abuzayed, Bana |
|
|
69 |
C |
p. 189-208 |
artikel |
13 |
Debt externality in equity markets: Leveraged portfolios and Islamic indices
|
Khan, Salman |
|
|
69 |
C |
p. 152-177 |
artikel |
14 |
Did China’s ICO ban alter the Bitcoin market?
|
Okorie, David Iheke |
|
|
69 |
C |
p. 977-993 |
artikel |
15 |
Does catering behavior persist? Evidence on dividend sentiment in emerging financial markets
|
ElBannan, Mona A. |
|
|
69 |
C |
p. 350-373 |
artikel |
16 |
Does confidence matter for economic growth? An analysis from the perspective of policy effectiveness
|
Guo, Yumei |
|
|
69 |
C |
p. 1-19 |
artikel |
17 |
Does employer learning with statistical discrimination exist in China? Evidence from Chinese Micro Survey Data
|
Wang, Jun |
|
|
69 |
C |
p. 319-333 |
artikel |
18 |
Does US partisan conflict affect US–China bilateral trade?
|
Jiang, Xiandeng |
|
|
69 |
C |
p. 1117-1131 |
artikel |
19 |
Dynamic network DEA and SFA models for accounting and financial indicators with an analysis of super-efficiency in stochastic frontiers: An efficiency comparison in OECD banking
|
Wanke, Peter |
|
|
69 |
C |
p. 456-468 |
artikel |
20 |
Editorial Board
|
|
|
|
69 |
C |
p. ii |
artikel |
21 |
Exchange rate pass-through & management of inflation expectations in a small open inflation targeting economy
|
Nasir, Muhammad Ali |
|
|
69 |
C |
p. 178-188 |
artikel |
22 |
Factor return forecasting using cashflow spreads
|
Dai, Yiqing |
|
|
69 |
C |
p. 917-931 |
artikel |
23 |
Financial development, energy consumption and China's economic growth: New evidence from provincial panel data
|
Hao, Yu |
|
|
69 |
C |
p. 1132-1151 |
artikel |
24 |
Financialization and sluggish fixed investment in Chinese real sector firms
|
Shu, Jiaxian |
|
|
69 |
C |
p. 1106-1116 |
artikel |
25 |
Flexible or mandatory retirement? Welfare implications of retirement policies for a population with heterogeneous health conditions
|
Feng, Zhenhua |
|
|
69 |
C |
p. 1032-1055 |
artikel |
26 |
GDP distortion and tax avoidance in local SOEs: Evidence from China
|
Li, Xiaoxia |
|
|
69 |
C |
p. 582-598 |
artikel |
27 |
Global accounting standards, financial statement comparability, and the cost of capital
|
Huang, Yong |
|
|
69 |
C |
p. 301-318 |
artikel |
28 |
Governance quality, bank price synchronicity and political uncertainty
|
Doan, Anh-Tuan |
|
|
69 |
C |
p. 231-262 |
artikel |
29 |
Growing against the background of colonization? Chinese labor market and FDI in a historical perspective
|
Wang, Hao |
|
|
69 |
C |
p. 1018-1031 |
artikel |
30 |
Heterogeneous patterns of income diversification effects in U.S. bank holding companies
|
Kim, Jinyong |
|
|
69 |
C |
p. 731-749 |
artikel |
31 |
How do lenders evaluate borrowers in peer-to-peer lending in China?
|
Chen, Shiyi |
|
|
69 |
C |
p. 651-662 |
artikel |
32 |
How do stocks in BRICS co-move with real estate stocks?
|
Gil-Alana, Luis A. |
|
|
69 |
C |
p. 93-101 |
artikel |
33 |
Information asymmetry and the effect of financial openness on firm growth and wage in emerging markets
|
Park, Haehean |
|
|
69 |
C |
p. 901-916 |
artikel |
34 |
Institutional and foreign ownership vis-à-vis default risk: Evidence from Japanese firms
|
Kabir, Md Nurul |
|
|
69 |
C |
p. 469-493 |
artikel |
35 |
International stock market co-movements following US financial globalization
|
Huang, Chai Liang |
|
|
69 |
C |
p. 788-814 |
artikel |
36 |
Intraday sentiment and market returns
|
Gao, Bin |
|
|
69 |
C |
p. 48-62 |
artikel |
37 |
Liquidity, covered interest rate parity, and zero lower bound in Japan’s foreign exchange markets
|
Chen, W.D. |
|
|
69 |
C |
p. 334-349 |
artikel |
38 |
Managerial compensation as a double-edged sword: Optimal incentives under misreporting
|
Loyola, Gino |
|
|
69 |
C |
p. 994-1017 |
artikel |
39 |
Marketization vs. market chase: Insights from implicit government guarantees
|
Zhang, Xiaoqian |
|
|
69 |
C |
p. 435-455 |
artikel |
40 |
Market price effects of agency sovereign debt announcements: Importance of prior credit states
|
Binici, Mahir |
|
|
69 |
C |
p. 769-787 |
artikel |
41 |
Market responses to increased transparency: An Indian narrative
|
Krishnan, Kaveri |
|
|
69 |
C |
p. 663-677 |
artikel |
42 |
News and return volatility of Chinese bank stocks
|
Ho, Kin-Yip |
|
|
69 |
C |
p. 1095-1105 |
artikel |
43 |
[No title]
|
Psychalis, Marios |
|
|
69 |
C |
p. 678-679 |
artikel |
44 |
Oil price shocks and Chinese economy revisited: New evidence from SVAR model with sign restrictions
|
Liu, Donghui |
|
|
69 |
C |
p. 20-32 |
artikel |
45 |
Optimal asset allocation and consumption rules for commodity-based sovereign wealth funds
|
Moutanabbir, Khouzeima |
|
|
69 |
C |
p. 708-730 |
artikel |
46 |
Patent growth and the long-run performance of VC-backed IPOs
|
Zhang, Yeqing |
|
|
69 |
C |
p. 33-47 |
artikel |
47 |
Political connection and the walking dead: Evidence from China's privately owned firms
|
He, Qing |
|
|
69 |
C |
p. 1056-1070 |
artikel |
48 |
Preference for lottery features in real estate investment trusts
|
Zhu, Zhaobo |
|
|
69 |
C |
p. 599-613 |
artikel |
49 |
Research on the time-varying network structure evolution of the stock indices of the BRICS countries based on fluctuation correlation
|
Dong, Zhiliang |
|
|
69 |
C |
p. 63-74 |
artikel |
50 |
Revisiting oil-stock nexus during COVID-19 pandemic: Some preliminary results
|
Salisu, Afees A. |
|
|
69 |
C |
p. 280-294 |
artikel |
51 |
SME financing with new credit guarantee contracts over the business cycle
|
Xia, Xin |
|
|
69 |
C |
p. 515-538 |
artikel |
52 |
Taming the dark side of asset liquidity: The role of short-term debt
|
Huang, Guan-Ying |
|
|
69 |
C |
p. 539-562 |
artikel |
53 |
Targeted reduction in reserve requirement ratio and optimal monetary policy in China
|
Wei, Xiaoyun |
|
|
69 |
C |
p. 209-230 |
artikel |
54 |
Technical trading index, return predictability and idiosyncratic volatility
|
Ma, Yao |
|
|
69 |
C |
p. 879-900 |
artikel |
55 |
The asymmetric oil price and policy uncertainty shock exposure of emerging market sectoral equity returns: A quantile regression approach
|
Das, Debojyoti |
|
|
69 |
C |
p. 563-581 |
artikel |
56 |
The asymmetric spillover effect of the Markov switching mechanism from the futures market to the spot market
|
Chang, Kuang-Liang |
|
|
69 |
C |
p. 374-388 |
artikel |
57 |
The EHTS and the persistence in the spread reconsidered. A fractional cointegration approach
|
Vides, José Carlos |
|
|
69 |
C |
p. 124-137 |
artikel |
58 |
The idiosyncratic momentum anomaly
|
Blitz, David |
|
|
69 |
C |
p. 932-957 |
artikel |
59 |
The impact of financial development, IFRS, and rule of LAW on foreign investments: A cross-country analysis
|
Akisik, Orhan |
|
|
69 |
C |
p. 815-838 |
artikel |
60 |
The impact of monetary policy stance, financial conditions, and the GFC on investment-cash flow sensitivity
|
Gül, Selçuk |
|
|
69 |
C |
p. 692-707 |
artikel |
61 |
The impact of quantitative easing and carry trade on the real estate market in Hong Kong
|
Miyakoshi, Tatsuyoshi |
|
|
69 |
C |
p. 958-976 |
artikel |
62 |
The impact of US economic policy uncertainty on WTI crude oil returns in different time and frequency domains
|
Zhang, Yue-Jun |
|
|
69 |
C |
p. 750-768 |
artikel |
63 |
The marginal propensity to insure: An international analysis
|
Yuan, Cheng |
|
|
69 |
C |
p. 102-109 |
artikel |
64 |
The relationship between currency crises and capital flow reversals: An empirical examination
|
Almahmood, Hassan |
|
|
69 |
C |
p. 419-434 |
artikel |
65 |
The role of macroeconomic factors in the capital structure of European firms: How influential is bank debt?
|
Azofra, Valentín |
|
|
69 |
C |
p. 494-514 |
artikel |
66 |
Two-child policy, gender income and fertility choice in China
|
Liu, Jun |
|
|
69 |
C |
p. 1071-1081 |
artikel |
67 |
Using utilitarian and Rawlsian policies to attract the creative class: A tale of two cities
|
Batabyal, Amitrajeet A. |
|
|
69 |
C |
p. 295-300 |
artikel |
68 |
Volatility persistence in cryptocurrency markets under structural breaks
|
Abakah, Emmanuel Joel Aikins |
|
|
69 |
C |
p. 680-691 |
artikel |