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                             118 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 Abnormal loan growth, credit information sharing and systemic risk in Asian banks Soedarmono, Wahyoe
2017
42 C p. 1208-1218
artikel
2 Acceleration effect of intangibles in the recovery of corporate performance after-crisis Barajas, Angel
2017
42 C p. 1115-1122
artikel
3 Access to bank financing and the collateral channel: The case of Tunisian firms before and after the revolution Bencheikh, Fayrouz
2017
42 C p. 874-886
artikel
4 Accounting quality and information asymmetry of foreign direct investment firms Wang, Li-Hsun
2017
42 C p. 950-958
artikel
5 A comparison of Islamic and conventional insurance demand: Worldwide evidence during the Global Financial Crisis Akhter, Waheed
2017
42 C p. 1401-1412
artikel
6 A new theoretical framework to assess Multinational Corporations’ motivation for Foreign Direct Investment: A case study on Vietnamese service industries Saleh, Ali Salman
2017
42 C p. 630-644
artikel
7 Antecedents of hedge fund activism in French listed target firms Ben Arfa, Nouha
2017
42 C p. 1315-1326
artikel
8 Antitakeover provisions and CEO monetary benefits: Revisiting the E-index Al Dah, Bilal
2017
42 C p. 992-1004
artikel
9 Application of VIX and entropy indicators for portfolio rotation strategies Jadhao, Gaurav
2017
42 C p. 1367-1371
artikel
10 Are global shocks leading indicators of currency crisis in Viet Nam? Pham, Thi Hoang Anh
2017
42 C p. 605-615
artikel
11 Are Islamic stock indexes exposed to systemic risk? Multivariate GARCH estimation of CoVaR Trabelsi, Nader
2017
42 C p. 727-744
artikel
12 Assessing abnormal returns: the case of Chinese M&A acquiring firms Song, Xiaojing
2017
42 C p. 191-207
artikel
13 Assessing the impact of export processing zones on economic growth in Ghana Quaicoe, Alexander
2017
42 C p. 1150-1163
artikel
14 Asset pricing with investor sentiment: On the use of investor group behavior to forecast ASEAN markets French, Jordan
2017
42 C p. 124-148
artikel
15 A tale of two cities: Economic development, corporate governance and firm value in Vietnam Connelly, J. Thomas
2017
42 C p. 102-123
artikel
16 Auditor specialization, accounting information quality and investment efficiency Elaoud, Assawer
2017
42 C p. 616-629
artikel
17 Bank capital buffer, franchise value, and risk heterogeneity in China Jiang, Hai
2017
42 C p. 1455-1466
artikel
18 Bank credit risk and credit information sharing in Africa: Does credit information sharing institutions and context matter? Kusi, Baah Aye
2017
42 C p. 1123-1136
artikel
19 Bank-firm relationship and credit risk: An analysis on Tunisian firms Belaid, Faiçal
2017
42 C p. 532-543
artikel
20 Capability satisficing in high frequency trading Van Vliet, Ben
2017
42 C p. 509-521
artikel
21 Capital structure and firm performance: Empirical evidence from a small transition country Le, Thi Phuong Vy
2017
42 C p. 710-726
artikel
22 CEO compensation and banks’ risk-taking during pre and post financial crisis periods Shah, Syed Zulfiqar Ali
2017
42 C p. 1489-1503
artikel
23 Cointegration test of oil price and us dollar exchange rates for some oil dependent economies Mensah, Lord
2017
42 C p. 304-311
artikel
24 Collateralization of business loans: Testing the prediction of theories Meles, Antonio
2017
42 C p. 922-938
artikel
25 Competition, concentration and risk taking in Banking sector of MENA countries González, Luis Otero
2017
42 C p. 591-604
artikel
26 Conditional market timing in the mutual fund industry Tchamyou, Vanessa S.
2017
42 C p. 1355-1366
artikel
27 Corporate governance, capital structure and firm performance: Evidence from Thailand Detthamrong, Umawadee
2017
42 C p. 689-709
artikel
28 Corporate risk-taking, returns and the nature of major shareholders: Evidence from prospect theory Díez-Esteban, José María
2017
42 C p. 900-911
artikel
29 Credit supply constraints and financial policies of listed companies during the 2007–2009 financial crisis Akbar, Saeed
2017
42 C p. 559-571
artikel
30 Crowdfunding practices in and outside the US Barbi, Massimiliano
2017
42 C p. 208-223
artikel
31 Crowding out or crowding in? Correlations of spending components within and across countries Kandil, Magda
2017
42 C p. 1254-1273
artikel
32 Determinants of bankruptcy regime choice for Canadian public firms Ayadi, Mohamed A.
2017
42 C p. 161-172
artikel
33 Determinants of the capital adequacy ratio of foreign banks’ subsidiaries: The role of interbank market and regulation Mili, Mehdi
2017
42 C p. 442-453
artikel
34 Differences and similaritites between corporate governance principles in Islamic banks and Conventional banks Shibani, Osama
2017
42 C p. 1005-1010
artikel
35 Diversification strategy, efficiency, and firm performance: Insight from emerging market Gyan, Alex Kwaku
2017
42 C p. 1103-1114
artikel
36 Do commodities make effective hedges for equity investors? Olson, Eric
2017
42 C p. 1274-1288
artikel
37 Does Brazilian allowance for corporate equity reduce the debt bias? Evidences of rebound effect and ownership-induced ACE clientele Portal, Márcio Telles
2017
42 C p. 480-495
artikel
38 Does central bank independence affect stock market volatility? Papadamou, Stephanos
2017
42 C p. 855-864
artikel
39 Does country risks predict stock returns and volatility? Evidence from a nonparametric approach Suleman, Tahir
2017
42 C p. 1173-1195
artikel
40 Does the ownership structure matter for banks’ capital regulation and risk-taking behavior? Empirical evidence from a developing country Zheng, Changjun
2017
42 C p. 404-421
artikel
41 Do foreign investors improve stock price informativeness in emerging equity markets? Evidence from Vietnam Vo, Xuan Vinh
2017
42 C p. 986-991
artikel
42 Do remittances respond to revolutions? The Evidence from Tunisia Edelbloude, Johanna
2017
42 C p. 94-101
artikel
43 Dynamic herding analysis in a frontier market Arjoon, Vaalmikki
2017
42 C p. 496-508
artikel
44 Empowering social responsibility of Islamic organizations through Waqf Darus, Faizah
2017
42 C p. 959-965
artikel
45 Evidence of algorithmic trading from Indian equity market: Interpreting the transaction velocity element of financialization Dubey, Ritesh Kumar
2017
42 C p. 31-38
artikel
46 Evidences for a structural change in the oil market before a financial crisis: The flat horizon effect Chiarucci, Riccardo
2017
42 C p. 912-921
artikel
47 Examining dynamic currency linkages amongst South Asian economies: An empirical study Sehgal, Sanjay
2017
42 C p. 173-190
artikel
48 Examining the relationship between earning management and market liquidity Ajina, Aymen
2017
42 C p. 1164-1172
artikel
49 Exploring the nexus between financial sector reforms and the emergence of digital banking culture – Evidences from a developing country Shaikh, Aijaz A.
2017
42 C p. 1030-1039
artikel
50 Fear of floating in Asia and the credibility of true floaters? Rizvi, S.K.A.
2017
42 C p. 149-160
artikel
51 Feedback trading in stock index futures: Evidence from South Africa Charteris, Ailie
2017
42 C p. 1289-1297
artikel
52 Financing climate policies through climate bonds – A three stage model and empirics Flaherty, Michael
2017
42 C p. 468-479
artikel
53 Flight to quality and the predictability of reversals: The role of market states and global factors Demirer, Rıza
2017
42 C p. 1445-1454
artikel
54 Foreign direct investment, foreign trade and environment: New evidence from simultaneous-equation system of gravity models Kahouli, Bassem
2017
42 C p. 353-364
artikel
55 Foreign portfolio flows and emerging stock market: Is the midnight bell ringing in India? Hiremath, Gourishankar S.
2017
42 C p. 544-558
artikel
56 Full adoption of IFRSs in Brazil: Earnings quality and the cost of equity capital da Silva, Ricardo Luiz Menezes
2017
42 C p. 1057-1073
artikel
57 Has the correlation of inflation and stock prices changed in the United States over the last two centuries? Antonakakis, Nikolaos
2017
42 C p. 1-8
artikel
58 Hedge fund returns under crisis scenarios: A holistic approach Stoforos, Chrysostomos E.
2017
42 C p. 1196-1207
artikel
59 Herding behavior in the Pakistan stock exchange: Some new insights Shah, Mohay Ud Din
2017
42 C p. 865-873
artikel
60 How do stocks react to extreme market events? Evidence from Brazil Piccoli, Pedro
2017
42 C p. 275-284
artikel
61 How Germany benefits the most from its Eurozone membership Juneja, Januj
2017
42 C p. 1074-1088
artikel
62 How past perceived portfolio returns affect financial behaviors—The underlying psychological mechanism Khan, Mohammad Tariqul Islam
2017
42 C p. 1478-1488
artikel
63 How to explain non-performing loans by many corporate governance variables simultaneously? A corporate governance index is built to US commercial banks Tarchouna, Ameni
2017
42 C p. 645-657
artikel
64 Impact of taxation on dividend policy: Evidence from Pakistan Khan, Naimat U.
2017
42 C p. 365-375
artikel
65 Inside front cover - Editorial Board - Bottom half 2017
42 C p. IFC
artikel
66 Is ex-post credit risk affected by the cycles? The case of Italian banks Anastasiou, Dimitrios
2017
42 C p. 242-248
artikel
67 Long-run performance of an industry after broader reforms including privatization Ghulam, Yaseen
2017
42 C p. 745-768
artikel
68 Long-term persistence in corporate capital structure: Evidence from India Sharma, Prateek
2017
42 C p. 249-261
artikel
69 Macroeconomic risks and REITs returns: A comparative analysis Kola, Katlego
2017
42 C p. 1228-1243
artikel
70 Managerial ability, investment efficiency and stock price crash risk Habib, Ahsan
2017
42 C p. 262-274
artikel
71 Modelling asymmetric conditional dependence between Shanghai and Hong Kong stock markets Wu, Weiou
2017
42 C p. 1137-1149
artikel
72 Modelling correlation dynamics of EMU sovereign debt markets during the recent turmoil Babalos, Vassilios
2017
42 C p. 1021-1029
artikel
73 “Neighbors in values”: A new dataset of cultural distances between countries based on individuals’ values, and its application to the study of global trade Shulgin, Sergey
2017
42 C p. 966-985
artikel
74 Noise trading in small markets: Evidence from Amman Stock Exchange (ASE) Khasawneh, Ohoud Abdel Hafiez
2017
42 C p. 422-428
artikel
75 Nominal uncertainty, real uncertainty and macroeconomic performance in a time-varying asymmetric framework: Implications for monetary policy Shah, Said Zamin
2017
42 C p. 75-93
artikel
76 Nonperforming loans in the GCC banking sectors: Does the Islamic finance matter? Alandejani, Maha
2017
42 C p. 832-854
artikel
77 Oil price shocks and American depositary receipt stock returns Sharma, Shahil
2017
42 C p. 1040-1056
artikel
78 On identifying the domestic systemically important banks: The case of Tunisia Hmissi, Bochra
2017
42 C p. 1343-1354
artikel
79 On the dynamic dependence and investment performance of crude oil and clean energy stocks Ahmad, Wasim
2017
42 C p. 376-389
artikel
80 On the dynamic interactions between energy and stock markets under structural shifts: Evidence from Egypt Ahmed, Walid M.A.
2017
42 C p. 61-74
artikel
81 On the volatility spillover between lslamic and conventional stock markets: A quantile regression analysis Ben Rejeb, Aymen
2017
42 C p. 794-815
artikel
82 Performance of Islamic and conventional banks: A meta-frontier approach Abdul-Majid, Mariani
2017
42 C p. 1327-1335
artikel
83 Performance persistence in Chinese securities investment funds Gao, Jun
2017
42 C p. 1467-1477
artikel
84 Reactive or proactive? Investor sentiment as a driver of corporate social responsibility Cheong, Calvin W.H.
2017
42 C p. 572-582
artikel
85 Remittances, banks and stock markets: Panel evidence from developing countries Issahaku, Haruna
2017
42 C p. 1413-1427
artikel
86 Research and development investment and financing constraints: The case of Japan Saidani, Wien
2017
42 C p. 1336-1342
artikel
87 Risk, return, and liquidity during Ramadan: Evidence from Indonesian and Malaysian stock markets Lai, Ya-Wen
2017
42 C p. 233-241
artikel
88 Scheduled macro-news effects on a Euro/US dollar limit order book around the 2008 financial crisis Ben Omrane, Walid
2017
42 C p. 9-30
artikel
89 Securitisation in BRICS: Issues, challenges and prospects Ngwu, Franklin N.
2017
42 C p. 1219-1227
artikel
90 Sentiment, foreign equity flows, and returns: Evidence from Thailand’s stock markets French, Joseph J.
2017
42 C p. 816-831
artikel
91 Shadow banking, insurance and financial sector stability Diallo, Boubacar
2017
42 C p. 224-232
artikel
92 Should online social Medias (OSMs) be banned at work? The impact of social Medias on employee productivity in Ambo University, a case study Tulu, Daniel Tadesse
2017
42 C p. 1096-1102
artikel
93 Slack heterogeneity and firm performance: Investigating the relationship in Indian context Altaf, Nufazil
2017
42 C p. 390-403
artikel
94 Socially responsible: Are they profitable? Syed, Ali Murad
2017
42 C p. 1504-1515
artikel
95 Sovereign credit ratings and bank funding cost: Evidence from Africa Opoku Mensah, Mary
2017
42 C p. 887-899
artikel
96 Speculative bubbles in emerging stock markets and macroeconomic factors: A new empirical evidence for Asia and Latin America Tran, Thi Bich Ngoc
2017
42 C p. 454-467
artikel
97 Stock liquidity and SMEs’ likelihood of bankruptcy: Evidence from the US market Kalak, Izidin El
2017
42 C p. 1383-1393
artikel
98 Stock return predictability in emerging markets: Does the choice of predictors and models matter across countries? Hadhri, Sinda
2017
42 C p. 39-60
artikel
99 Target CEO age, ownership decisions, and takeover outcomes Dang, Man
2017
42 C p. 769-783
artikel
100 Testing the inflation rates in MENA countries: Evidence from quantile regression approach and seasonal unit root test Bolat, Süleyman
2017
42 C p. 1089-1095
artikel
101 The determinants of private capital flow volatility in Sub-Saharan African countries Opperman, Pieter
2017
42 C p. 312-320
artikel
102 The effect of financial reporting quality on corporate investment efficiency: Evidence from the Tunisian stock market Houcine, Asma
2017
42 C p. 321-337
artikel
103 The environmental effects of economic growth and globalization in Sub-Saharan Africa: A panel general method of moments approach Kwabena Twerefou, Daniel
2017
42 C p. 939-949
artikel
104 The impact of heuristics on investment decision and performance: Exploring multiple mediation mechanisms Abdin, Syed Zain ul
2017
42 C p. 674-688
artikel
105 The impact of macroeconomic variables on exchange rate volatility in Ghana: The Partial Least Squares Structural Equation Modelling approach Adusei, Michael
2017
42 C p. 1428-1444
artikel
106 The impact of monetary policy on stock market performance: Evidence from twelve (12) African countries Suhaibu, Iddrisu
2017
42 C p. 1372-1382
artikel
107 The impact of natural disasters on insurers’ profitability: Evidence from Property/Casualty Insurance company in United States Benali, Nadia
2017
42 C p. 1394-1400
artikel
108 The link between the current international monetary non-system, financialization and the Washington consensus Reyes, Luis
2017
42 C p. 429-441
artikel
109 The mediating effect of REM on the relationship between CEO overconfidence and subsequent firm performance moderated by IFRS adoption: A moderated-mediation analysis Kouaib, Amel
2017
42 C p. 338-352
artikel
110 The nexus between financial integration and real economy: Solow-growth model concept Rahman, Md. Saifur
2017
42 C p. 1244-1253
artikel
111 The one-trading-day-ahead forecast errors of intra-day realized volatility Degiannakis, Stavros
2017
42 C p. 1298-1314
artikel
112 The performance of banks in the MENA region during the global financial crisis Caporale, Guglielmo Maria
2017
42 C p. 583-590
artikel
113 The role of banks in the governance of nonfinancial firms: Evidence from Europe Zemzem, Ahmed
2017
42 C p. 784-793
artikel
114 The role of banks in the governance of non-financial firms: Evidence from Europe Zemzem, Ahmed
2017
42 C p. 285-294
artikel
115 Time-varying impacts of demand and supply oil shocks on correlations between crude oil prices and stock markets indices Nadal, Raquel
2017
42 C p. 1011-1020
artikel
116 Using the EFQM excellence model for integrated reporting: A qualitative exploration and evaluation Trébucq, Stéphane
2017
42 C p. 522-531
artikel
117 What does the bond yield curve tell us about Tunisian economic activity? Boukhatem, Jamel
2017
42 C p. 295-303
artikel
118 Which came first, CEO compensation or firm performance? The causality dilemma in European companies Smirnova, Aleksandra S.
2017
42 C p. 658-673
artikel
                             118 gevonden resultaten
 
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