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                             37 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 Analysis of the impact of global uncertainty on abnormal cross-border capital flows Deng, Chuang

87 C p. 338-346
artikel
2 A network analysis on country and financial center attractiveness: Evidence from Asian economies, 2001–2018 Miyakoshi, Tatsuyoshi

87 C p. 418-432
artikel
3 Bitcoin trading, economic growth, energy use, and CO2 emissions: An advanced panel study of emerging market economies Hong, Hui

87 C p. 519-531
artikel
4 Blockchain market and eco-friendly financial assets: Dynamic price correlation, connectedness and spillovers with portfolio implications Abakah, Emmanuel Joel Aikins

87 C p. 218-243
artikel
5 Capital misallocation and financial market frictions: Empirical evidence from equity cost of capital Shen, Junyan

87 C p. 486-504
artikel
6 Central bank asset purchases, banks’ risky security holdings and profitability: Macro and micro evidence from Japan and the U.S. Wang, Ling

87 C p. 347-364
artikel
7 Corporate governance and systemic risk: Evidence from Chinese-listed banks Lee, Chien-Chiang

87 C p. 180-202
artikel
8 Debts and depth of recessions Park, Donghyun

87 C p. 468-485
artikel
9 Digital transformation, environmental disclosure, and environmental performance: An examination based on listed companies in heavy-pollution industries in China Zhang, Wenqiu

87 C p. 505-518
artikel
10 Does competition exacerbate investment inefficiencies? Evidence from Japanese firms Tinaikar, Surjit

87 C p. 35-53
artikel
11 Do pension subsidies reduce household education expenditure inequality? Evidence from China Dong, Shizheng

87 C p. 532-540
artikel
12 Editorial Board
87 C p. ii
artikel
13 Explaining the volatility of the real exchange rate in emerging markets Agosin, Manuel

87 C p. 110-123
artikel
14 Exploring the sentimental features of rumor messages and investors' intentions to invest Alzahrani, Ahmed Ibrahim

87 C p. 433-444
artikel
15 Export prices and markups with a common currency: Empirical evidence from Greek exporting firms and euro adoption Drivas, Kyriakos

87 C p. 79-98
artikel
16 Heterogeneous dependence among cryptocurrency, green bonds, and sustainable equity: New insights from Granger-causality in quantiles analysis Lee, Chi-Chuan

87 C p. 99-109
artikel
17 High frequency market making during stressed periods Xu, Ke

87 C p. 379-397
artikel
18 Impacts of home country's institutional environment on OFDI dual margin Li, Fengchun

87 C p. 54-67
artikel
19 Local governments' economic growth target pressure and bank loan loss provision: Evidence from China Ren, Meixu

87 C p. 1-14
artikel
20 Long-term liquidity effects of large-scale asset purchase programs: Evidence from the euro covered bond market Weigerding, Michael

87 C p. 244-264
artikel
21 Minimum wage effects on firms’ R&D investment: Evidence from China Wei, Zhihua

87 C p. 287-305
artikel
22 Oil futures volatility prediction: Bagging or combination? Lyu, Zhichong

87 C p. 457-467
artikel
23 Payments for Watershed Services and corporate green innovation Huang, Dayan

87 C p. 541-556
artikel
24 Pro-social preferences and risk aversion with different payment methods: Evidence from the laboratory Li, Jingping

87 C p. 324-337
artikel
25 Return and volatility spillovers among global assets: Comparing health crisis with geopolitical crisis Naeem, Muhammad Abubakr

87 C p. 557-575
artikel
26 Short-selling and corporate default risk: Evidence from China Meng, Qingbin

87 C p. 398-417
artikel
27 Spillovers between green and dirty cryptocurrencies and socially responsible investments around the war in Ukraine Patel, Ritesh

87 C p. 143-162
artikel
28 Stakeholder orientation and trade credit: Evidence from a natural experiment Li, Tongxia

87 C p. 15-34
artikel
29 Stock market volatility prediction: Evidence from a new bagging model Luo, Qin

87 C p. 445-456
artikel
30 The heterogeneous impacts of M&As on renewable energy firms’ innovation: Comparative analysis of China, the US and EU Qiao, Lu

87 C p. 306-323
artikel
31 The impact of a systemic tax on bank capital holdings, optimal capital requirements and social welfare Huang, Chao

87 C p. 124-142
artikel
32 The predictability of skewness risk premium on stock returns: Evidence from Chinese market Ni, Zhongxin

87 C p. 576-594
artikel
33 The role of categorical EPU indices in predicting stock-market returns Chen, Juan

87 C p. 365-378
artikel
34 The tail wagging the dog: How do meme stocks affect market efficiency? Aloosh, Arash

87 C p. 68-78
artikel
35 Uncertain mean–variance portfolio model with inflation taking linear uncertainty distributions Huang, Xiaoxia

87 C p. 203-217
artikel
36 Understanding the role of social media sentiment in identifying irrational herding behavior in the stock market Li, Tong

87 C p. 163-179
artikel
37 Volatility spillover between oil and stock prices: Structural connectedness based on a multi-sector DSGE model approach with Bayesian estimation Chan, Ying Tung

87 C p. 265-286
artikel
                             37 gevonden resultaten
 
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