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                             70 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 Active or passive portfolio: A tracking error analysis under uncertainty theory Yang, Tingting

80 C p. 309-326
artikel
2 A large-dimensional test for cross-sectional anomalies:Efficient sorting revisited De Nard, Gianluca

80 C p. 654-676
artikel
3 Asset quality, financing structure, and bank regulations Gong, Yaxian

80 C p. 1061-1075
artikel
4 Confucian merchants culture, social movement and entrepreneurs’ political participation: evidence from China Xiu, Zongfeng

80 C p. 795-821
artikel
5 Consumer welfare, licensing, and exclusive dealing with vertically- and horizontally-differentiated products Lin, Yen-Ju

80 C p. 147-158
artikel
6 Corporate cash and the Firm's life-cycle: Evidence from dual-class firms Lin, James Juichia

80 C p. 27-48
artikel
7 Corporate economic profits in the euro area: The relevance of cost competitive advantage Vallés, Javier

80 C p. 569-585
artikel
8 Corporate investment and government policy during the COVID-19 crisis Hoang, Khanh

80 C p. 677-696
artikel
9 Could we rely on credit swap hedging as a substitute for insurer blockchain technology involvement? Lin, Jyh-Horng

80 C p. 266-281
artikel
10 Couple-based leadership and default risk: Evidence from China Zhao, Weijia

80 C p. 439-463
artikel
11 Cultural values, genes and savings behavior in China Chan, Kenneth S.

80 C p. 134-146
artikel
12 Designing the anti-money laundering supervisor: The governance of the financial intelligence units Bartolozzi, D.

80 C p. 1093-1109
artikel
13 Determinants of corporate cash holdings: An application of a robust variable selection technique Elyasiani, Elyas

80 C p. 967-993
artikel
14 Directors' and officers’ liability insurance and the pricing of seasoned equity offerings Liao, Tsai-Ling

80 C p. 12-26
artikel
15 Does bank competition inhibit the formation of zombie firms? Zhang, Xiaoqian

80 C p. 1045-1060
artikel
16 Does CEO's early life experience affect corporate bond yield spread? Evidence from China's great famine Xue, Fei

80 C p. 1012-1024
artikel
17 Does city construction improve life quality?-evidence from POI data of China Wang, Yang

80 C p. 643-653
artikel
18 Does environmental regulation affect labor investment Efficiency?Evidence from a quasi-natural experiment in China Chen, Chunhua

80 C p. 82-95
artikel
19 Does flattening the curve make a difference? An investigation of the COVID-19 pandemic based on an SIR model Qiu, Hong

80 C p. 159-165
artikel
20 Does income inequality explain public debt change in OECD countries? Bartak, Jakub

80 C p. 211-224
artikel
21 Editorial Board
80 C p. ii
artikel
22 Effectiveness of macroprudential policies: Do stringent bank regulation and supervision matter? Mirzaei, Ali

80 C p. 342-360
artikel
23 Effect of economic policy uncertainty on stock market return and volatility under heterogeneous market characteristics Kundu, Srikanta

80 C p. 597-612
artikel
24 Electoral rivalry and financial campaign contributions: The case of US Congressional elections Oladi, Reza

80 C p. 822-834
artikel
25 Extreme directional spillovers between investor attention and green bond markets Pham, Linh

80 C p. 186-210
artikel
26 Financial institution shareholding and corporate innovation: Evidence from China Fan, Rui

80 C p. 835-856
artikel
27 Financial stability and network complexity: A random matrix approach Li, Fei

80 C p. 177-185
artikel
28 Firm-level financialization: Contributing factors, sources, and economic consequences Huang, Bingbing

80 C p. 1153-1162
artikel
29 Fiscal policy choices of local governments in China: Land finance or local government debt? Cheng, Yudan

80 C p. 294-308
artikel
30 Forecasting Pakistan stock market volatility: Evidence from economic variables and the uncertainty index Ghani, Maria

80 C p. 1180-1189
artikel
31 Foreign direct investment, capital accumulation, and growth: The rise of the Emerging South Demir, Firat

80 C p. 779-794
artikel
32 Foreign investors, private information, and price discovery Cai, Jun

80 C p. 506-525
artikel
33 Foreign ownership and earnings management Han, Minghui

80 C p. 114-133
artikel
34 Foreign ownership and productivity Xu, Jian

80 C p. 624-642
artikel
35 Global factors and stock market integration Qiu, Yue

80 C p. 526-551
artikel
36 Good oil volatility, bad oil volatility, and stock return predictability Xiao, Jihong

80 C p. 953-966
artikel
37 How China's high-speed rail promote local economy: New evidence from county-level panel data Wang, Yao

80 C p. 67-81
artikel
38 How financial crises affect the relationship between idiosyncratic volatility and stock returns Chen, Yi-Ling

80 C p. 96-113
artikel
39 Impact of Covid-19 containment measures on trade de Lucio, Juan

80 C p. 766-778
artikel
40 Institutional investors’ corporate site visits and dividend payouts Yang, Xia

80 C p. 697-716
artikel
41 Internationalization of innovation and firm performance in the pharmaceutical industry Zhai, Zhe

80 C p. 882-905
artikel
42 Investment response to exchange rate uncertainty: Evidence from Chinese exporters Zeng, Ting

80 C p. 488-505
artikel
43 Investor sentiment, credit rating, and stock returns Lee, Jong Hwa

80 C p. 1076-1092
artikel
44 Islamic Stock indices and COVID-19 pandemic Salisu, Afees A.

80 C p. 282-293
artikel
45 Labor mobility and corporate investment—Evidence from a Quasi-natural experiment in China Wu, Ziqi

80 C p. 1110-1129
artikel
46 Liquidity dimensions in the U.S. corporate bond market Díaz, Antonio

80 C p. 1163-1179
artikel
47 Market risk aversion under volatility shifts: An experimental study Aragó, V.

80 C p. 552-568
artikel
48 Monetary policy uncertainty, debt financing cost and real economic activities: Evidence from China Xiang, Jingjie

80 C p. 1025-1044
artikel
49 Official inspection, educational threshold and employment goal Tan, Wenhao

80 C p. 755-765
artikel
50 Oil price shocks and yield curve dynamics in emerging markets Cepni, Oguzhan

80 C p. 613-623
artikel
51 Oil price uncertainty, corporate governance and firm performance Song, Xinyu

80 C p. 469-487
artikel
52 Online or face-to-face? Competition among MOOC and regular education providers Han, Haipeng

80 C p. 857-881
artikel
53 Orthogonal portfolios to assess estimation risk Chavez-Bedoya, Luis

80 C p. 906-937
artikel
54 Portfolio optimization under multivariate affine generalized hyperbolic distributions Wang, Chou-Wen

80 C p. 49-66
artikel
55 Resolution of financial market uncertainty around the release of unemployment rate announcements Gu, Chen

80 C p. 586-596
artikel
56 Revenue-neutral or profit-neutral tariff and tax reforms under imperfect competition: Welfare implications Chang, Yang-Ming

80 C p. 1-11
artikel
57 Risk measure index tracking model Sant’Anna, Leonardo Riegel

80 C p. 361-383
artikel
58 Risk-return trade-off in the Australian Securities Exchange: Accounting for overnight effects, realized higher moments, long-run relations, and fractional cointegration Jayawardena, Nirodha I.

80 C p. 384-401
artikel
59 Risky mortgages, credit shocks and cross-border spillovers Buesa, Alejandro

80 C p. 717-733
artikel
60 Short-sale constraints and cross-predictability: Evidence from Chinese market Li, Rui

80 C p. 166-176
artikel
61 Singlehanded or joint race? Stock market volatility prediction Lu, Xinjie

80 C p. 734-754
artikel
62 Supply chain, product pricing, and dynamic capital structure Chen, Chang-Chih

80 C p. 938-952
artikel
63 The heterogeneity of interest-induced MPC: Evidence from mortgage borrowers Song, Sang-yoon

80 C p. 402-417
artikel
64 The non-monotonic relationship between financial integration and cost efficiency: Evidence from East Asian commercial banks Nguyen, Dung Thuy Thi

80 C p. 418-438
artikel
65 The religious fringe of Corporate Social Responsibility Hassan, M. Kabir

80 C p. 243-265
artikel
66 The role of different information sources in information spread: Evidence from three media channels in China Wu, Chunying

80 C p. 327-341
artikel
67 The scope for strategic asymmetry under international rivalry Gilbert, John

80 C p. 464-468
artikel
68 The study of co-movement risk in the context of the Belt and Road Initiative Hsu, Ching-Chi

80 C p. 1130-1152
artikel
69 What drives credit expansion worldwide?——An empirical investigation with long-term cross-country panel data Yi, Xingjian

80 C p. 225-242
artikel
70 What factors drive Saudi stock markets? – Firm characteristics that attract retail trades Alshammari, Saad

80 C p. 994-1011
artikel
                             70 gevonden resultaten
 
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