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                             51 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 Consumption, wealth, stock and housing returns: Evidence from emerging markets Caporale, Guglielmo Maria
2016
36 C p. 562-578
17 p.
artikel
2 Does national culture affect the intensity of volatility linkages in international equity markets? Rothonis, Stephanie
2016
36 C p. 85-95
11 p.
artikel
3 Does the relationship between small and large portfolios’ returns confirm the lead–lag effect? Evidence from the Athens Stock Exchange Drakos, Anastassios A.
2016
36 C p. 546-561
16 p.
artikel
4 Does the simple microstructure model tell the time of the FX intervention? A one day analysis of the Japanese FX intervention Kitamura, Yoshihiro
2016
36 C p. 436-446
11 p.
artikel
5 Does the strength of the legal systems matter for trade in insurance and financial services? Gani, Azmat
2016
36 C p. 511-519
9 p.
artikel
6 Editorial Boubaker, Sabri
2016
36 C p. 543-545
3 p.
artikel
7 Effect of government share ownership on corporate risk taking: Case of the United Arab Emirates Uddin, Md Hamid
2016
36 C p. 322-339
18 p.
artikel
8 Efficiency and risk convergence of Eurozone financial markets Wild, Joerg
2016
36 C p. 196-211
16 p.
artikel
9 Efficiency in the Vietnamese banking system: A DEA double bootstrap approach Stewart, Chris
2016
36 C p. 96-111
16 p.
artikel
10 Financial market interdependencies: A quantile regression analysis of volatility spillover Ben Rejeb, Aymen
2016
36 C p. 140-157
18 p.
artikel
11 Financial markets development, business cycles, and bank risk in South America Vithessonthi, Chaiporn
2016
36 C p. 472-484
13 p.
artikel
12 Financial stress and economic activity in some emerging Asian economies Cevik, Emrah I.
2016
36 C p. 127-139
13 p.
artikel
13 Global economic activity as an explicator of emerging market equity returns Graham, Michael
2016
36 C p. 424-435
12 p.
artikel
14 Global financial crisis and emerging stock market contagion: A volatility impulse response function approach Jin, Xiaoye
2016
36 C p. 179-195
17 p.
artikel
15 How strong are the linkages between real estate and other sectors in China? Chan, Steven
2016
36 C p. 52-72
21 p.
artikel
16 Impact of financial market uncertainty and macroeconomic factors on stock–bond correlation in emerging markets Dimic, Nebojsa
2016
36 C p. 41-51
11 p.
artikel
17 Inside front cover - Editorial Board - Bottom half 2016
36 C p. IFC-
1 p.
artikel
18 Institutional arrangements and debt financing Zhang, Shage
2016
36 C p. 362-372
11 p.
artikel
19 Insurance penetration and economic growth nexus: Cross-country evidence from ASEAN Pradhan, Rudra P.
2016
36 C p. 447-458
12 p.
artikel
20 Integration of emerging stock markets with global stock markets Al Nasser, Omar M.
2016
36 C p. 1-12
12 p.
artikel
21 Investigating stock market efficiency: A look at OIC member countries Arshad, Shaista
2016
36 C p. 402-413
12 p.
artikel
22 Investor sentiment and local bias in extreme circumstances: The case of the Blitz Urquhart, Andrew
2016
36 C p. 340-350
11 p.
artikel
23 Investor sentiment, stock mispricing, and long-term growth expectations Miwa, Kotaro
2016
36 C p. 414-423
10 p.
artikel
24 Is exchange rate risk priced in microfinance? Al-Azzam, Moh’d
2016
36 C p. 520-531
12 p.
artikel
25 Long and short-runs determinants of the sovereign CDS spread in emerging countries Ho, Sy Hoa
2016
36 C p. 579-590
12 p.
artikel
26 Long-term performance of mergers and acquisitions in ASEAN countries Rao-Nicholson, Rekha
2016
36 C p. 373-387
15 p.
artikel
27 MENA stock market volatility persistence: Evidence before and after the financial crisis of 2008 Assaf, Ata
2016
36 C p. 222-240
19 p.
artikel
28 Mergers, acquisitions, and bank efficiency: Cross-country evidence from emerging markets Du, Kai
2016
36 C p. 499-510
12 p.
artikel
29 Microstructures, financial reforms and informational efficiency in an emerging market Arjoon, Vaalmikki
2016
36 C p. 112-126
15 p.
artikel
30 Multi-asset class mutual funds: Can they time the market? Evidence from the US, UK and Canada Clare, Andrew
2016
36 C p. 212-221
10 p.
artikel
31 On emerging stock market contagion: The Baltic region Alexakis, Panayotis D.
2016
36 C p. 312-321
10 p.
artikel
32 Predicting efficiency in Malaysian Islamic banks: A two-stage TOPSIS and neural networks approach Wanke, Peter
2016
36 C p. 485-498
14 p.
artikel
33 Profitability of return and sentiment-based investment strategies in US futures markets Bahloul, Walid
2016
36 C p. 254-270
17 p.
artikel
34 Rationality of survey based inflation expectations: A study of 18 emerging economies’ inflation forecasts Miah, Fazlul
2016
36 C p. 158-166
9 p.
artikel
35 Return and volatility interdependences in up and down markets across developed and emerging countries Kundu, Srikanta
2016
36 C p. 297-311
15 p.
artikel
36 Socially responsible investing and Islamic funds: New perspectives for portfolio allocation Charfeddine, Lanouar
2016
36 C p. 351-361
11 p.
artikel
37 Spikes and crashes in the oil market Aboura, Sofiane
2016
36 C p. 615-623
9 p.
artikel
38 Spillover effects between exchange rates and stock prices: Evidence from BRICS around the recent global financial crisis Sui, Lu
2016
36 C p. 459-471
13 p.
artikel
39 Stock market efficiency and liquidity: The Indonesia Stock Exchange merger Yang, Ann Shawing
2016
36 C p. 28-40
13 p.
artikel
40 The determinants of financial structure: How to explain the “paradox of insolvency and debt” among SMEs in Cameroon? Tchankam, Jean-Paul
2016
36 C p. 73-84
12 p.
artikel
41 The economic opportunity cost for countries located in crisis zones: Evidence from the Middle East Abu-Ghunmi, Diana
2016
36 C p. 532-542
11 p.
artikel
42 The effects of social ratings on firm value Cellier, Alexis
2016
36 C p. 656-683
28 p.
artikel
43 The explanatory power of higher moment capital asset pricing model in the Karachi stock exchange Akbar, Muhammad
2016
36 C p. 241-253
13 p.
artikel
44 The fall of high-frequency trading: A survey of competition and profits Serbera, Jean-Philippe
2016
36 C p. 271-287
17 p.
artikel
45 The impact of state and foreign ownership on banking risk: Evidence from the MENA countries Lassoued, Naima
2016
36 C p. 167-178
12 p.
artikel
46 The likelihood of management involvement, offer premiums, and target shareholder wealth effects: Evidence from the 2002–2007 LBO wave Cao, Kien
2016
36 C p. 641-655
15 p.
artikel
47 The validity of Islamic art as an investment McQuillan, William
2016
36 C p. 388-401
14 p.
artikel
48 Time-varying co-movements and volatility spillovers among financial sector CDS indexes in the UK Tamakoshi, Go
2016
36 C p. 288-296
9 p.
artikel
49 Unraveling the political budget cycle nexus in Greece Laopodis, Nikiforos T.
2016
36 C p. 13-27
15 p.
artikel
50 Why do companies transfer the trading compartment of their common stocks Cissé, Abdoul Karim
2016
36 C p. 624-640
17 p.
artikel
51 Wine: To drink or invest in? A study of wine as an investment asset in French portfolios Aytaç, Beysül
2016
36 C p. 591-614
24 p.
artikel
                             51 gevonden resultaten
 
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