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                             21 results found
no title author magazine year volume issue page(s) type
1 A comparative goodness-of-fit analysis of distributions of some Lévy processes and Heston model to stock index returns Göncü, Ahmet
2016
36 C p. 69-83
15 p.
article
2 Around the world with Irving Fisher Gylfason, Thorvaldur
2016
36 C p. 232-243
12 p.
article
3 Asymmetric causality in-mean and in-variance among equity markets indexes González, Mariano
2016
36 C p. 49-68
20 p.
article
4 Brokers’ financial network and stock return Chuang, Hongwei
2016
36 C p. 172-183
12 p.
article
5 Central bank standing facilities, counterparty risk, and OTC-interbank lending Vollmer, Uwe
2016
36 C p. 101-122
22 p.
article
6 Choice of inflation targeting: Some international evidence Ismailov, Shakhzod
2016
36 C p. 350-369
20 p.
article
7 Economic crisis in the European periphery: An assessment of EMU membership and home policy effects based on the Greek experience Bitros, George C.
2016
36 C p. 312-327
16 p.
article
8 Financial economics, risk and information: An introduction to methods and model, World Scientific, 2nd edition, 2012, by Marcelo Bianconi Craven, Bruce
2016
36 C p. 370-371
2 p.
article
9 Forecasting economic activity from yield curve factors Argyropoulos, Efthymios
2016
36 C p. 293-311
19 p.
article
10 Foreign investors and stock price efficiency: Thresholds, underlying channels and investor heterogeneity Lim, Kian-Ping
2016
36 C p. 1-28
28 p.
article
11 Globalization and insurance activity: Evidence on the industrial and emerging countries Lee, Chien-Chiang
2016
36 C p. 328-349
22 p.
article
12 Globalization, political institutions, financial liberalization, and performance of the insurance industry Lee, Chien-Chiang
2016
36 C p. 244-266
23 p.
article
13 Governance infrastructure and indebtedness of African countries: Do regional blocs matter? Muhanji, Stella
2016
36 C p. 123-153
31 p.
article
14 IFC (Editorial Board) 2016
36 C p. IFC-
1 p.
article
15 Invisible walls: Do psychological barriers really exist in stock index levels? Woodhouse, Sam Alan
2016
36 C p. 267-278
12 p.
article
16 Is corporate payout taxation a long run phenomenon? Evidence from international data Ji, Philip Inyeob
2016
36 C p. 84-100
17 p.
article
17 On economic uncertainty, stock market predictability and nonlinear spillover effects Bekiros, Stelios
2016
36 C p. 184-191
8 p.
article
18 On the robustness of persistence in mutual fund performance Matallín-Sáez, Juan Carlos
2016
36 C p. 192-231
40 p.
article
19 Productivity changes in pre-crisis Western European banks: Does scale effect really matter? Lee, Chi-Chuan
2016
36 C p. 29-48
20 p.
article
20 Re-examining risk premiums in the Fama–French model: The role of investor sentiment Wu, Po-Chin
2016
36 C p. 154-171
18 p.
article
21 Variance-Gamma and Normal-Inverse Gaussian models: Goodness-of-fit to Chinese high-frequency index returns Göncü, Ahmet
2016
36 C p. 279-292
14 p.
article
                             21 results found
 
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