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                             52 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 Audit quality during the global financial crisis: The investors’ perspective Shahzad, Khurram

45 C p. 94-105
artikel
2 Bank lending channel and monetary policy in Nigeria Matousek, Roman

45 C p. 467-474
artikel
3 Banks’ systemic risk in the Tunisian context: Measures and Determinants Khiari, Wided

45 C p. 620-631
artikel
4 Banks versus markets: Do they compete, complement or Co-evolve in the Nigerian financial system? An ARDL approach Arize, Augustine

45 C p. 427-434
artikel
5 Behavioral explanation for risk taking in Islamic and conventional banks Ben Salah Mahdi, Ines

45 C p. 577-587
artikel
6 Business risk disclosure and firm risk: Evidence from Japan Kim, Hyonok

45 C p. 413-426
artikel
7 Can partially privatized SOEs outperform fully private firms? Evidence from Indonesia Rakhman, Fuad

45 C p. 285-292
artikel
8 CEO Pay Slice as a measure of CEO dominance Elias, Maxim

45 C p. 571-576
artikel
9 Corporate choice between conventional bond and Sukuk issuance evidence from GCC countries Grassa, Rihab

45 C p. 454-466
artikel
10 Corporate governance and debt securities issued in Brazil and India: A multi-case study Marques, Thiago Avila

45 C p. 257-270
artikel
11 Corruption and emerging markets: Systematic review of the most cited Cintra, Renato Fabiano

45 C p. 607-619
artikel
12 Cost and profit efficiency of listed South African banks pre and post the financial crisis du Toit, Elda

45 C p. 435-445
artikel
13 Credit constraints and firm productivity: Microeconomic evidence from China Li, Yao Amber

45 C p. 134-149
artikel
14 Demand for audit quality in newly privatized firms in MENA region: Role of internal corporate governance mechanisms audit Ben-Hassoun, Amira

45 C p. 334-348
artikel
15 Dependence patterns among Asian banking sector stocks: A copula approach Mensah, Jones Odei

45 C p. 357-388
artikel
16 Determinants of emerging markets’ financial health: A panel data study of sovereign bond spreads Tebaldi, Edinaldo

45 C p. 82-93
artikel
17 Determinants of the choice between share repurchases and dividend payments Wesson, N.

45 C p. 180-196
artikel
18 Disclosure of financial instruments: Practices and challenges of Latin American firms from the mining industry Malaquias, Rodrigo Fernandes

45 C p. 158-167
artikel
19 Diversification, capital structure and profitability: A panel VAR approach 1 1 We are grateful to the editor and the anonymous reviewer for their valuable comments. Jouida, Sameh

45 C p. 243-256
artikel
20 Do creditors price firms’ environmental, social and governance risks? Erragragui, Elias

45 C p. 197-207
artikel
21 Does the degree of Shari’ah compliance affect the volatility? Evidence from the MENA region Ahmed, Neveen

45 C p. 150-157
artikel
22 Does top managers’ experience affect firms’ capital structure? Matemilola, B.T.

45 C p. 488-498
artikel
23 Do European bidders pay more in cross-border than in domestic acquisitions? New evidence from Continental Europe and the UK Mateev, Miroslav

45 C p. 529-556
artikel
24 Editorial Board
45 C p. ii
artikel
25 Effect of multilateral trade liberalization on foreign direct investment outflows amid structural economic vulnerability in developing countries Gnangnon, Sèna Kimm

45 C p. 15-29
artikel
26 Examining the uncovered equity parity in the emerging financial markets Aftab, Muhammad

45 C p. 233-242
artikel
27 Extending the determinants of dollarization in sub-Saharan Africa: The role of easy access to foreign exchange earnings Raheem, Ibrahim Dolapo

45 C p. 106-120
artikel
28 Financial contagion and capital asset pricing in Africa: The impact of the 2007–09 and Euro-Zone crises on natural resources sector Beta in African emerging markets Tony-Okeke, Uchenna

45 C p. 54-61
artikel
29 How does news impact on the stock prices of green firms in emerging markets? Robinson, Justin

45 C p. 446-453
artikel
30 How micro, small and medium-sized enterprises are driven outward the superior international trade performance? A multidimensional study on Italian food sector Jafari Sadeghi, Vahid

45 C p. 597-606
artikel
31 Impact of dependence modeling of non-life insurance risks on capital requirement: D-Vine Copula approach Mejdoub, Hanène

45 C p. 208-218
artikel
32 Intraday price discovery analysis in the foreign exchange market of an emerging economy: Mexico Martinez, Valeria

45 C p. 271-284
artikel
33 Linkages between financial development, financial instability, financial liberalisation and economic growth in Africa Batuo, Michael

45 C p. 168-179
artikel
34 Mitigating capital flight through military expenditure: Insight from 37 African countries Asongu, Simplice A.

45 C p. 38-53
artikel
35 Modeling financial market volatility in transition markets: a multivariate case Oikonomikou, Leoni Eleni

45 C p. 307-322
artikel
36 Monetary transmission through the debt financing channel of Islamic banks: Does PSIA play a role? Hamza, Hichem

45 C p. 557-570
artikel
37 Parent control and ownership monitoring in publicly listed subsidiaries in Japan Sakawa, Hideaki

45 C p. 7-14
artikel
38 Portfolio diversification between developed and developing stock markets: The case of US and UK investors in Nigeria Oloko, Tirimisiyu F.

45 C p. 219-232
artikel
39 Relationship between board ownership structure and firm financial performance in transitional economy: The case of Vietnam Vu, Manh-Chien

45 C p. 512-528
artikel
40 Relationship between capital, risk and liquidity: a comparative study between Islamic and conventional banks in MENA region Ben Salah Mahdi, Ines

45 C p. 588-596
artikel
41 Stability of cross-market bivariate return distributions during financial turbulence Mudakkar, Syeda Rabab

45 C p. 389-401
artikel
42 Testing for financial contagion: New evidence from the Greek crisis and yuan devaluation Anastasopoulos, Alexia

45 C p. 499-511
artikel
43 Testing output gap and economic uncertainty as an explicator of stock market returns Ahmad, Wasim

45 C p. 293-306
artikel
44 The “Donald” and the market: Is there a cointegration? Angelini, Eliana

45 C p. 30-37
artikel
45 The entry mode strategy and performance of SMEs: Evidence from Norway Nisar, Shaista

45 C p. 323-333
artikel
46 The failure of hedge funds: An analysis of the impact of different risk classes Di Tommaso, Caterina

45 C p. 121-133
artikel
47 The influence of cash flow on the speed of adjustment to the optimal capital structure Dufour, Dominique

45 C p. 62-71
artikel
48 The long-run impact of monetary policy uncertainty and banking stability on inward FDI in EU countries Albulescu, Claudiu Tiberiu

45 C p. 72-81
artikel
49 The “modern” in “modern finance”: A multi-paradigmatic look Ardalan, Kavous

45 C p. 475-487
artikel
50 The relationship between media bias and inflation expectations in P.R. China Xu, Yingying

45 C p. 402-412
artikel
51 The valuation of social impact bonds: An introductory perspective with the Peterborough SIB Schinckus, Christophe

45 C p. 1-6
artikel
52 What determines the Japanese corporate credit spread? A new evidence Azad, A.S.M. Sohel

45 C p. 349-356
artikel
                             52 gevonden resultaten
 
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