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                             57 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 A learning-based strategy for portfolio selection Chen, Shun

71 C p. 936-942
artikel
2 Ambiguity, long-run risks, and asset prices in continuous time Ruan, Xinfeng

71 C p. 115-126
artikel
3 Analysis of the performance of volatility-based trading strategies on scheduled news announcement days: An international equity market perspective López, Raquel

71 C p. 32-54
artikel
4 Can bank credit withstand falling house price in China? Su, Chi-Wei

71 C p. 257-267
artikel
5 Capital market access and innovation efficiency: A natural experiment from China’s pilot VAT reform in 2012 Liu, Duan

71 C p. 549-566
artikel
6 Cash holdings and profitability of banks in developed and emerging markets Fernandes, Gláucia

71 C p. 880-895
artikel
7 Composite-asset-risk approach to solving the equity premium puzzle Kim, Yun-Yeong

71 C p. 200-216
artikel
8 Confucius Institute, Belt and Road Initiative, and Internationalization Wang, Hao

71 C p. 237-256
artikel
9 Connectedness between cryptocurrency and technology sectors: International evidence Umar, Zaghum

71 C p. 910-922
artikel
10 Creating the illicit capital flows network in Europe – Do the net errors and omissions follow an economic pattern? Siranova, Maria

71 C p. 955-973
artikel
11 Cross-momentum: Tracking idiosyncratic shocks Zareei, Abalfazl

71 C p. 177-199
artikel
12 Day-of-the-week effect and spread determinants: Some international evidence from equity markets Gkillas, Konstantinos

71 C p. 268-288
artikel
13 Distracted institutional shareholders and corporate cash holdings Cheung, Adrian (Wai Kong)

71 C p. 453-466
artikel
14 Does Bitcoin or gold react to financial stress alike? Evidence from the U.S. and China Zhang, Hongwei

71 C p. 629-648
artikel
15 Do valued independent directors matter to commercial bank performance? Tam, On Kit

71 C p. 1-20
artikel
16 Do venture capital firms promote corporate social responsibility? Li, Jiu-Jin

71 C p. 718-732
artikel
17 Economic prediction with the FOMC minutes: An application of text mining Huang, Yu-Lieh

71 C p. 751-761
artikel
18 Editorial Board
71 C p. ii
artikel
19 Effects of diversification on bank efficiency: Evidence from Shinkin banks in Japan Harimaya, Kozo

71 C p. 700-717
artikel
20 Effects of the financial crisis on household financial risky assets holdings: Empirical evidence from Europe Vu, Thi-Hong-Phuong

71 C p. 342-358
artikel
21 Environmental law enforcement as external monitoring: Evidence from the impact of an environmental inspection program on firm-level stock price crash risk Zhang, Xuehui

71 C p. 21-31
artikel
22 Event study on the reaction of the developed and emerging stock markets to the 2019-nCoV outbreak Pandey, Dharen Kumar

71 C p. 467-483
artikel
23 Gold, inflation and exchange rate in dollarized economies – A comparative study of Turkey, Peru and the United States Sui, Meng

71 C p. 82-99
artikel
24 How do independent directors view corporate social responsibility (CSR) during a stressful time? Evidence from the financial crisis Chintrakarn, Pandej

71 C p. 143-160
artikel
25 Human Capital efficiency and equity funds’ performance during the COVID-19 pandemic Yarovaya, Larisa

71 C p. 584-591
artikel
26 Identification of Extreme Capital Flows in Emerging Markets Dhar, Amrita

71 C p. 359-384
artikel
27 Imitative innovation and financial distress risk: The moderating role of executive foreign experience Liu, Bai

71 C p. 526-548
artikel
28 Impact analysis of religiosity and altruism on multidimensional inequality; Amalia, Nadira

71 C p. 517-525
artikel
29 Implied volatility forecast and option trading strategy Liu, Dehong

71 C p. 943-954
artikel
30 Indeterminacy in a matching model of money with productive government expenditure Chu, Angus C.

71 C p. 497-516
artikel
31 Infectious disease-related uncertainty and the safe-haven characteristic of US treasury securities Gupta, Rangan

71 C p. 289-298
artikel
32 Inflation dynamics, the role of inflation at different horizons and inflation uncertainty Choi, Yoonseok

71 C p. 649-662
artikel
33 Institutional change and wage inequality Pi, Jiancai

71 C p. 440-452
artikel
34 Linking U.S. State-level housing market returns, and the consumption-(Dis)Aggregate wealth ratio Balcilar, Mehmet

71 C p. 779-810
artikel
35 Loan loss provisioning of US banks: Economic policy uncertainty and discretionary behavior Danisman, Gamze Ozturk

71 C p. 923-935
artikel
36 Margin trading and stock idiosyncratic volatility: Evidence from the Chinese stock market Gui, Pingshu

71 C p. 484-496
artikel
37 Markup dynamics and financial frictions: The Spanish case Montero, José Manuel

71 C p. 316-341
artikel
38 Modeling realized volatility of the EUR/USD exchange rate: Does implied volatility really matter? Plíhal, Tomáš

71 C p. 811-829
artikel
39 Monetary policy shocks and delayed overshooting in farm prices and exchange rates Kim, Jihae

71 C p. 620-628
artikel
40 New technical indicators and stock returns predictability Dai, Zhifeng

71 C p. 127-142
artikel
41 New Ways of Modeling Loan-to-Income Distributions and their Evolution in Time - A Probability Copula Approach Gerth, Florian

71 C p. 217-236
artikel
42 Nonlinearity in stock returns: Do risk aversion, investor sentiment and, monetary policy shocks matter? Dahmene, Meriam

71 C p. 676-699
artikel
43 Organization capital and analysts’ forecasts Kim, Hyun-Dong

71 C p. 762-778
artikel
44 Pandemic-related financial market volatility spillovers: Evidence from the Chinese COVID-19 epicentre Corbet, Shaen

71 C p. 55-81
artikel
45 Pricing virtual currency-linked derivatives with time-inhomogeneity Lian, Yu-Min

71 C p. 424-439
artikel
46 Publication bias in the price effects of monetary policy: A meta-regression analysis for emerging and developing economies Lan Nguyen, Thi Mai

71 C p. 567-583
artikel
47 Systemic risk in international stock markets: Role of the oil market Yin, Libo

71 C p. 592-619
artikel
48 Tax evasion, audits with memory, and portfolio choice Ma, Yong

71 C p. 896-909
artikel
49 The bright side of product market threats: The case of innovation Le, Danh Vinh

71 C p. 161-176
artikel
50 The effects of investor attention and policy uncertainties on cross-border country exchange-traded fund returns Lee, Chien-Chiang

71 C p. 830-852
artikel
51 The effects of uncertainty measures on commodity prices from a time-varying perspective Huang, Jianbai

71 C p. 100-114
artikel
52 The impact of COVID-19 on the efficiency of microfinance institutions Zheng, Chen

71 C p. 407-423
artikel
53 The impact of green energy infrastructure on firm productivity: Evidence from the Three Gorges Project in China Cheng, Dong

71 C p. 385-406
artikel
54 The impact of robots on equilibrium unemployment of unionized workers Pi, Jiancai

71 C p. 663-675
artikel
55 The lottery receipt Wan, Junmin

71 C p. 733-750
artikel
56 Tradable or nontradable factors—what does the Hansen–Jagannathan distance tell us? Zhang, Xiang

71 C p. 853-879
artikel
57 What can cluster analysis offer in investing? - Measuring structural changes in the investment universe Sim, Min Kyu

71 C p. 299-315
artikel
                             57 gevonden resultaten
 
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