Digitale Bibliotheek
Sluiten Bladeren door artikelen uit een tijdschrift
     Tijdschrift beschrijving
       Alle jaargangen van het bijbehorende tijdschrift
         Alle afleveringen van het bijbehorende jaargang
                                       Alle artikelen van de bijbehorende aflevering
 
                             75 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 A comparative analysis of perception of dividends by financial managers Frankfurter, George M
2004
1 p. 73-114
42 p.
artikel
2 Analysing the wealth effects of UK divestitures: An examination of domestic and international sales Cao, Jack
2008
1 p. 68-84
17 p.
artikel
3 An empirical analysis of Mexican and US closed-end mutual fund IPOs Brau, James C.
2009
1 p. 1-17
17 p.
artikel
4 A new daily dividend-adjusted index for the Danish stock market, 1985–2002: construction, statistical properties, and return predictability Belter, Klaus
2005
1 p. 53-70
18 p.
artikel
5 An investigation of bond term premia in international government bond indices Halkos, George E.
2006
1 p. 45-61
17 p.
artikel
6 A productivity analysis of Central and Eastern European banking taking into account risk decomposition and environmental variables Kenjegalieva, Karligash A.
2011
1 p. 26-38
13 p.
artikel
7 A 10-year retrospective on the determinants of Russian stock returns Anatolyev, Stanislav
2008
1 p. 56-67
12 p.
artikel
8 Behavior of GCC stock markets and impacts of US oil and financial markets Hammoudeh, Shawkat
2006
1 p. 22-44
23 p.
artikel
9 Corporate governance or globalization: What determines CEO compensation in China? Li, Donghui
2007
1 p. 32-49
18 p.
artikel
10 Corporate performance, managerial ownership and endogeneity: A simultaneous equations analysis for the Athens stock exchange Drakos, A.A.
2010
1 p. 24-38
15 p.
artikel
11 Correlation dynamics in equity markets: evidence from India Durai, S. Raja Sethu
2011
1 p. 64-74
11 p.
artikel
12 Day of the week effect on foreign exchange market volatility: Evidence from Turkey Berument, Hakan
2007
1 p. 87-97
11 p.
artikel
13 Default risk, systematic risk and Thai firms before, during and after the Asian crisis Byström, Hans
2005
1 p. 95-110
16 p.
artikel
14 Determinants of bank efficiency during unstable macroeconomic environment: Empirical evidence from Malaysia Sufian, Fadzlan
2009
1 p. 54-77
24 p.
artikel
15 Determinants of corporate hedging decision: Evidence from Croatian and Slovenian companies Sprcic, Danijela Milos
2012
1 p. 1-25
25 p.
artikel
16 Does bancassurance add value for banks? – Evidence from mergers and acquisitions between European banks and insurance companies Chen, Zhian
2011
1 p. 104-112
9 p.
artikel
17 Do sovereign rating changes trigger spillover effects? Bissoondoyal-Bheenick, Emawtee
2012
1 p. 79-96
18 p.
artikel
18 Dynamic linkages between the center and periphery in international stock markets Ozdemir, Zeynel Abidin
2009
1 p. 46-53
8 p.
artikel
19 Economic and financial themes in Australian aged care Hogan, Warren P.
2008
1 p. 40-55
16 p.
artikel
20 Editorial Board 2007
1 p. CO2-
1 p.
artikel
21 Editorial Board 2008
1 p. CO2-
1 p.
artikel
22 Editorial Board 2010
1 p. CO2-
1 p.
artikel
23 Editorial Board 2009
1 p. CO2-
1 p.
artikel
24 Editorial Board 2012
1 p. CO2-
1 p.
artikel
25 Editorial Board 2011
1 p. CO2-
1 p.
artikel
26 European equity markets integration—implications for US investors Vinh Vo, Xuan
2005
1 p. 155-170
16 p.
artikel
27 FDI chaos and control in China Xu, WeiGuo
2008
1 p. 17-28
12 p.
artikel
28 Financial contagion: A local correlation analysis Inci, A. Can
2011
1 p. 11-25
15 p.
artikel
29 Financial development, structure, and economic growth: the case of Egypt, 1974–2002 Bolbol, Ali A.
2005
1 p. 171-194
24 p.
artikel
30 Financial factors in foreign direct investments: A dynamic analysis of international data Choi, Jongmoo Jay
2007
1 p. 1-18
18 p.
artikel
31 Foreign affiliates of the world largest financial groups: Locations and governance Outreville, J. François
2007
1 p. 19-31
13 p.
artikel
32 Foreign direct investment and trade: The case of Vietnam Anwar, Sajid
2011
1 p. 39-52
14 p.
artikel
33 GARCH modelling of banking integration in the Eurozone Alexandrou, George
2011
1 p. 1-10
10 p.
artikel
34 Global terrorism and adaptive expectations in financial markets: Evidence from Japanese equity market Graham, Michael A.
2012
1 p. 97-119
23 p.
artikel
35 Global trends in real risk free rates He, Hui
2011
1 p. 53-63
11 p.
artikel
36 Inside front cover - Editorial Board - Bottom half 2004
1 p. IFC-
1 p.
artikel
37 Inside front cover - Editorial Board - Bottom half 2005
1 p. CO2-
1 p.
artikel
38 Inside front cover - Editorial Board - Bottom half 2006
1 p. CO2-
1 p.
artikel
39 International financial integration in Asian bond markets Vo, Xuan Vinh
2009
1 p. 90-106
17 p.
artikel
40 International trade and US productivity Hung, Juann
2004
1 p. 1-25
25 p.
artikel
41 Intraday periodicity, calendar and announcement effects in Euro exchange rate volatility Evans, Kevin P.
2010
1 p. 82-101
20 p.
artikel
42 Investability, corporate governance and firm value O’Connor, Thomas
2012
1 p. 120-136
17 p.
artikel
43 Investigating the determinants of the Wednesday seasonal in Irish Equities Lucey, Brian M.
2006
1 p. 62-76
15 p.
artikel
44 Is currency union a feasible option in East Asia? Huang, Ying
2006
1 p. 77-94
18 p.
artikel
45 Is the market underreacting or overreacting to open market share repurchases? A UK perspective Crawford, Ian
2012
1 p. 26-46
21 p.
artikel
46 Mapping global money laundering trends: Lessons from the pace setters Vaithilingam, Santha
2009
1 p. 18-30
13 p.
artikel
47 Market integration and currency risk in Asian emerging markets Tai, Chu-Sheng
2007
1 p. 98-117
20 p.
artikel
48 Merger arbitrage and the interaction between target and bidder stocks during takeover bids Hutson, Elaine
2005
1 p. 1-26
26 p.
artikel
49 Model specification and IPO performance: New insights from Asia Moshirian, Fariborz
2010
1 p. 62-74
13 p.
artikel
50 Money laundering—a global obstacle Buchanan, Bonnie
2004
1 p. 115-127
13 p.
artikel
51 On the robustness of higher-moment factors in explaining average expected returns: Evidence from Australia Doan, Minh Phuong
2012
1 p. 67-78
12 p.
artikel
52 Portfolio optimization with CVaR under VG process Yu, Jinping
2009
1 p. 107-116
10 p.
artikel
53 R&D intensity for innovative and adaptive purposes in overseas subsidiaries: Evidence from Japanese multinational enterprises Todo, Yasuyuki
2009
1 p. 31-45
15 p.
artikel
54 Religious freedom, religious diversity, and Japanese foreign direct investment Dolansky, Eric
2008
1 p. 29-39
11 p.
artikel
55 Risk-based capital adequacy in assessing on insolvency-risk and financial performances in Taiwan's banking industry Lin, Shu Ling
2005
1 p. 111-153
43 p.
artikel
56 Short-run underpricing and its characteristics in Chinese initial public offering (IPO) markets Chi, Jing
2005
1 p. 71-93
23 p.
artikel
57 Stock returns and macro risks: Evidence from Finland Virk, Nader Shahzad
2012
1 p. 47-66
20 p.
artikel
58 Structural breaks and long memory in US inflation rates: Do they matter for forecasting? Hyung, Namwon
2006
1 p. 95-110
16 p.
artikel
59 Structural changes in foreign investors’ trading behavior and the corresponding impact on Taiwan's stock market Lin, Cho-Min
2009
1 p. 78-89
12 p.
artikel
60 Testing for capital mobility: New evidence from a panel of G7 countries Narayan, Paresh Kumar
2010
1 p. 15-23
9 p.
artikel
61 The appraisal of ordinary shares by Saudi investors Al-Abdulqader, K.A.
2007
1 p. 69-86
18 p.
artikel
62 The benefits and costs of controlling shareholders: the rise and fall of Parmalat Buchanan, Bonnie
2005
1 p. 27-52
26 p.
artikel
63 The day-of-the-week effect in foreign exchange markets: multi-currency evidence Yamori, Nobuyoshi
2004
1 p. 51-57
7 p.
artikel
64 The effects of bank relationships on firm private debt restructuring: Evidence from an emerging market Huang, Jiang-Chuan
2011
1 p. 113-125
13 p.
artikel
65 The European flying geese Kalotay, Kálmán
2004
1 p. 27-49
23 p.
artikel
66 The internationalization efforts of lithuanian manufacturing firms—strategy or luck? Mockaitis, Audra I.
2006
1 p. 111-126
16 p.
artikel
67 The prediction of bank acquisition targets with discriminant and logit analyses: Methodological issues and empirical evidence Pasiouras, Fotios
2010
1 p. 39-61
23 p.
artikel
68 The role of regulatory capital in international bank mergers and acquisitions Valkanov, Emil
2007
1 p. 50-68
19 p.
artikel
69 The underpricing of gold mining initial public offerings Dimovski, William
2008
1 p. 1-16
16 p.
artikel
70 Time-varying moments, idiosyncratic risk, and an application to hot-issue IPO aftermarket returns Wagner, Niklas
2004
1 p. 59-72
14 p.
artikel
71 Transition to the Euro and its impact on country portfolio diversification Smimou, K.
2011
1 p. 88-103
16 p.
artikel
72 Turn-of-the-month and intramonth effects in government bond markets: Is there a role for macroeconomic news? Jalonen, Einari
2010
1 p. 75-81
7 p.
artikel
73 Using GMM to flatten the option volatility smile Arnold, Tom
2006
1 p. 1-21
21 p.
artikel
74 Voluntary IAS 1 accounting disclosures prior to official IAS adoption: An empirical investigation of UK firms Iatridis, George
2010
1 p. 1-14
14 p.
artikel
75 21 years of international M&As and joint ventures by Italian medium-sized listed firms: Value creation or value destruction? Morresi, Ottorino
2011
1 p. 75-87
13 p.
artikel
                             75 gevonden resultaten
 
 Koninklijke Bibliotheek - Nationale Bibliotheek van Nederland