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                             22 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 A comparison among various dimensions of illiquidity effect: A case study of Finland Butt, Hilal Anwar
2015
33 C p. 204-220
17 p.
artikel
2 Are the regional Gulf stock markets weak-form efficient as single stock markets and as a regional stock market? Jamaani, Fouad
2015
33 C p. 221-246
26 p.
artikel
3 Are there periodically collapsing bubbles in the REIT markets? New evidence from the US Xie, Zixiong
2015
33 C p. 17-31
15 p.
artikel
4 Better the devil you know: The influence of political incumbency on Australian financial market uncertainty Smales, Lee A.
2015
33 C p. 59-74
16 p.
artikel
5 Busy CEOs and the performance of family firms Pandey, Rakesh
2015
33 C p. 144-166
23 p.
artikel
6 Companies’ Access to Finance, Co-operative Industrial Relations, and Economic Growth: A Comparative Analysis of the States of South Eastern Europe Allen, Matthew M.C.
2015
33 C p. 167-177
11 p.
artikel
7 Credit risk determinants: Evidence from a cross-country study Chaibi, Hasna
2015
33 C p. 1-16
16 p.
artikel
8 Do asset backed securities ratings matter on average? Bissoondoyal-Bheenick, Emawtee
2015
33 C p. 32-43
12 p.
artikel
9 Do DOW returns really influence the intraday Spanish stock market behavior? Miralles-Quirós, José Luis
2015
33 C p. 99-126
28 p.
artikel
10 Electricity markets and oligopolistic behaviors: The impact of a multimarket structure Boroumand, Raphaël Homayoun
2015
33 C p. 319-333
15 p.
artikel
11 Ethical behavior and trustworthiness in the stock market-growth nexus Ng, Adam
2015
33 C p. 44-58
15 p.
artikel
12 Inside front cover - Editorial Board - Bottom half 2015
33 C p. IFC-
1 p.
artikel
13 IPO survival and CEOs’ decision-making power: The evidence of China Kashefi Pour, Eilnaz
2015
33 C p. 247-267
21 p.
artikel
14 Islamic versus conventional banks in the GCC countries: A comparative study using classification techniques Khediri, Karim Ben
2015
33 C p. 75-98
24 p.
artikel
15 Measuring the effect of oil prices on wheat futures prices Cartwright, Phillip A.
2015
33 C p. 355-369
15 p.
artikel
16 Oil commodity returns and macroeconomic factors: A time-varying approach Schalck, Christophe
2015
33 C p. 290-303
14 p.
artikel
17 On the concentration of mutual fund portfolio holdings: Evidence from Taiwan Chen, XiaoHua
2015
33 C p. 268-286
19 p.
artikel
18 The 2008 financial crisis: Stock market contagion and its determinants Luchtenberg, Kimberly F.
2015
33 C p. 178-203
26 p.
artikel
19 The influence of OPEC membership on economic development: A transaction cost comparative approach Escobar, Octavio R.
2015
33 C p. 304-318
15 p.
artikel
20 Trends and challenges in commodity markets Chenavaz, Régis
2015
33 C p. 287-289
3 p.
artikel
21 Twin deficits and the sustainability of public debt and exchange rate policies in Lebanon Neaime, Simon
2015
33 C p. 127-143
17 p.
artikel
22 Volatility returns with vengeance: Financial markets vs. commodities Aboura, Sofiane
2015
33 C p. 334-354
21 p.
artikel
                             22 gevonden resultaten
 
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