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                             48 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 Agency costs of customer concentration Kim, Taeyeon

85 C p. 533-558
artikel
2 A hybrid stochastic volatility model in a Lévy market El-Khatib, Youssef

85 C p. 220-235
artikel
3 Analysing SME investment, financing constraints and its determinants. A stochastic frontier approach Martinez-Cillero, Maria

85 C p. 578-588
artikel
4 Analyzing a dynamic relation between RMB exchange rate onshore and offshore during the extreme market conditions Hu, Genhua

85 C p. 408-417
artikel
5 An analysis of the return–volume relationship in decentralised finance (DeFi) Chu, Jeffrey

85 C p. 236-254
artikel
6 An indicator of monetary bias for emerging and partially dollarized economies: The case of Uruguay Brum-Civelli, Conrado

85 C p. 206-219
artikel
7 Are Chinese B-shares dead? An analysis of price limits on AB-shares on the Shanghai and Shenzhen Stock Exchanges Adcock, Chris

85 C p. 306-315
artikel
8 Can financial inclusion affect energy poverty in China? Evidence from a spatial econometric analysis Wang, Xiong

85 C p. 255-269
artikel
9 Can rural health insurance coverage improve educational attainment? Evidence from new cooperative medical scheme in China Zou, Wei

85 C p. 689-704
artikel
10 Can the introduction of stock index futures stabilize the volatility of the stock market? Evidence from the Chinese stock market Liu, Shengnan

85 C p. 44-58
artikel
11 Corporate ESG performance and trade credit financing – Evidence from China Luo, Chunhua

85 C p. 337-351
artikel
12 Cryptocurrencies versus environmentally sustainable assets: Does a perfect hedge exist? Anwer, Zaheer

85 C p. 418-431
artikel
13 Debt finance and economic activity in the euro-area: evidence on asymmetric and maturity effects Das, Kuntal K.

85 C p. 448-472
artikel
14 Does central bank communication on financial stability work? ——An empirical study based on Chinese stock market Du, Xiuli

85 C p. 390-407
artikel
15 Does globalization affect credit market controls? Batten, Jonathan A.

85 C p. 21-43
artikel
16 Does innovation save more energy? Evidence from Chinese Firms Gao, Jingyi

85 C p. 638-646
artikel
17 Do firm characteristics in their local context promote corporate ecological and social responsibility? Evidence from a multi-hierarchical analysis Van Huong, Vu

85 C p. 722-743
artikel
18 Dynamic co-movement between economic growth and language: A new perspective of technological progress Gang, Cuicui

85 C p. 705-721
artikel
19 Dynamic lead–lag relationship between Chinese carbon emission trading and stock markets under exogenous shocks Chen, Zhang-HangJian

85 C p. 295-305
artikel
20 Economic policy uncertainty and incentive to smooth earnings Chauhan, Yogesh

85 C p. 93-106
artikel
21 Editorial Board
85 C p. ii
artikel
22 Financial distress and jump tail risk: Evidence from China's listed companies Liu, Xiaoqun

85 C p. 316-336
artikel
23 Hedging performance using google Trends–Evidence from the indian forex options market Chi, Tsung-Li

85 C p. 107-123
artikel
24 How does corporate ESG performance affect bond credit spreads: Empirical evidence from China Lian, Yonghui

85 C p. 352-371
artikel
25 How does financial development change the effect of the bank lending channel of monetary policy in developing countries?—Evidence from China Li, Shuai

85 C p. 502-519
artikel
26 Identifying diversifiers, hedges, and safe havens among Asia Pacific equity markets during COVID-19: New results for ongoing portfolio allocation Ali, Fahad

85 C p. 744-792
artikel
27 Immigration and entrepreneurship: Is there a uniform relationship across countries? Wellalage, Nirosha Hewa

85 C p. 270-285
artikel
28 Impact of financial environment on household risk financial asset selection: A micro perspective Xiaoli, Gan

85 C p. 137-145
artikel
29 Industrial linkage and clustered regional business cycles in China Wang, Xiaoyu

85 C p. 59-72
artikel
30 Internal labor markets and corporate innovation: Evidence from Korean chaebols Lee, Kyounghun

85 C p. 146-162
artikel
31 Is there an expiration effect in the bitcoin market? Blasco, N.

85 C p. 647-663
artikel
32 Management efficiency uncertainty and its implications for bondholders Chen, Tsung-Kang

85 C p. 73-92
artikel
33 Nonlinearity in the cross-section of stock returns: Evidence from China Wang, Jianqiu

85 C p. 174-205
artikel
34 Optimal liquidity allocation in an equity network Jiang, Bo

85 C p. 286-294
artikel
35 Pension gap between the Chinese public and nonpublic sectors: evidence in the context of the integration of dual-track pension schemes Wang, Wen

85 C p. 664-688
artikel
36 Political connection and M&A performance: Evidence from China Brahma, Sanjukta

85 C p. 372-389
artikel
37 Short selling and SME irregular CEO succession: Witnessing the moderating role of earnings management Sha, Yezhou

85 C p. 163-173
artikel
38 SOEs reform and capital efficiency in China: A structural analysis Tang, Le

85 C p. 1-20
artikel
39 Speculation and clarification announcements on stock price fluctuations: Why are rumours plausible and hard to clarify? Shi, Qi

85 C p. 473-487
artikel
40 The effect of digital transformation on real economy enterprises’ total factor productivity Cheng, Yiran

85 C p. 488-501
artikel
41 The effect of dividend smoothing on bond spreads: Evidence from Japan Aoki, Yasuharu

85 C p. 621-637
artikel
42 The effect of political and bureaucratic regime changes on Australia's real interest rate Mishra, Ankita

85 C p. 124-136
artikel
43 The impacts of oil price volatility on financial stress: Is the COVID-19 period different? Sheng, Xin

85 C p. 520-532
artikel
44 The interrelationship between bank capital and liquidity creation: A non-linear perspective from the Asia-Pacific region Gupta, Juhi

85 C p. 793-820
artikel
45 The political affiliation of central bankers and government debt: Evidence from Africa Strong, Christine

85 C p. 603-620
artikel
46 What do we know about meme stocks? A bibliometric and systematic review, current streams, developments, and directions for future research Nobanee, Haitham

85 C p. 589-602
artikel
47 What drives the cross-border spillover of climate transition risks? Evidence from global stock markets Wu, Gabriel Shui Tang

85 C p. 432-447
artikel
48 What impacts foreign capital flows to China's stock markets? Evidence from financial risk spillover networks Xu, Hao

85 C p. 559-577
artikel
                             48 gevonden resultaten
 
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