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                             42 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 African stock markets in the midst of the global financial crisis: Recoupling or decoupling? Boako, Gideon
2018
46 C p. 166-180
artikel
2 A theory of joint venture instability under inter-partner learning Kabiraj, Tarun
2018
46 C p. 363-372
artikel
3 Can the interaction between a single long-term attractor and heterogeneous trading explain the exchange rate conundrum? Cifarelli, Giulio
2018
46 C p. 313-323
artikel
4 CEO power, product market competition and firm value Sheikh, Shahbaz
2018
46 C p. 373-386
artikel
5 Chemical industry disasters and the sectoral transmission of financial market contagion Corbet, Shaen
2018
46 C p. 490-501
artikel
6 Corporate debt and investment with financial constraints: Vietnamese listed firms Phan, Quynh Trang
2018
46 C p. 268-280
artikel
7 Corporate governance and operational risk voluntary disclosure: Evidence from Islamic banks Neifar, Souhir
2018
46 C p. 43-54
artikel
8 Corrigendum to “Socially responsible, are they profitable?” [Res. Int. Bus. Finance 42 (2017) 1504–1515] Syed, Ali Murad
2018
46 C p. 444
artikel
9 Currency crises in Turkey: An empirical assessment Ari, Ali
2018
46 C p. 281-293
artikel
10 Determinants of the domestic credits in developing economies: The role of political risks Gozgor, Giray
2018
46 C p. 430-443
artikel
11 Does bank diversification heterogeneously affect performance and risk-taking in ASEAN emerging economies? Moudud-Ul-Huq, Syed
2018
46 C p. 342-362
artikel
12 Does strategic partnership matter to create value of a firm? An empirical study based on SBF 250 French firms Saci, Fateh
2018
46 C p. 65-76
artikel
13 Do firms with state ownership in transitional economies take more risk? Evidence from Vietnam Vo, Xuan Vinh
2018
46 C p. 251-256
artikel
14 Do shareholder coalitions affect agency costs? Evidence from Italian-listed companies Rossi, Fabrizio
2018
46 C p. 181-200
artikel
15 Editorial Board 2018
46 C p. ii
artikel
16 Evidence of time-varying conditional discrete jump dynamics in sub-Saharan African foreign exchange markets Kuttu, Saint
2018
46 C p. 211-226
artikel
17 Examination of the information content of management range forecasts Chronopoulos, Panagiotis I.
2018
46 C p. 201-210
artikel
18 Exchange rates and macro news in emerging markets Caporale, Guglielmo Maria
2018
46 C p. 516-527
artikel
19 Exploring international economic integration through sukuk market connectivity: A network perspective Asutay, Mehmet
2018
46 C p. 77-94
artikel
20 Financial distress and equity returns: A leverage-augmented three-factor model Boubaker, Sabri
2018
46 C p. 1-15
artikel
21 Financial openness & institutions in developing countries Kant, Chander
2018
46 C p. 240-250
artikel
22 Government cost and firm value: Evidence from Vietnam Nguyen, Dong Phong
2018
46 C p. 55-64
artikel
23 Gulf Cooperation Council cross-border M&A: Institutional determinants of target nation selection Dowling, Michael
2018
46 C p. 471-489
artikel
24 Initial public offerings in China: Underpricing, statistics and developing literature Azevedo, Alcino
2018
46 C p. 387-398
artikel
25 Institutional Investors and firm characteristics: New evidence from India Guha Deb, Soumya
2018
46 C p. 30-42
artikel
26 Inter- and intra-regional analysis on spillover effects across international stock markets Lau, Chi Keung Marco
2018
46 C p. 420-429
artikel
27 Investor sentiment and the mean-variance relationship: European evidence Wang, Wenzhao
2018
46 C p. 227-239
artikel
28 Is Thailand’s credit default swap market linked to bond and stock markets? Evidence from the term structure of credit spreads Jitmaneeroj, Boonlert
2018
46 C p. 324-341
artikel
29 Is there an optimal level of housing wealth in the long-run? Theory and evidence Yetkiner, Hakan
2018
46 C p. 257-267
artikel
30 Is there momentum in factor premia? Evidence from international equity markets Zaremba, Adam
2018
46 C p. 120-130
artikel
31 Monitoring or empowering CEOs? The moderating effect of shareholder rights Al Dah, Bilal
2018
46 C p. 502-515
artikel
32 Nonlinearities in financial development–economic growth nexus: Evidence from sub-Saharan Africa Ibrahim, Muazu
2018
46 C p. 95-104
artikel
33 Persistence in the cryptocurrency market Caporale, Guglielmo Maria
2018
46 C p. 141-148
artikel
34 Predicting daily oil prices: Linear and non-linear models Dbouk, Wassim
2018
46 C p. 149-165
artikel
35 Price discovery in emerging currency markets Kumar, Satish
2018
46 C p. 528-536
artikel
36 Revisiting the finance-inequality nexus in a panel of African countries Meniago, Christelle
2018
46 C p. 399-419
artikel
37 Risk adjusted momentum strategies: A comparison between constant and dynamic volatility scaling approaches Fan, Minyou
2018
46 C p. 131-140
artikel
38 Should microfinance institutions diversify or focus? A global analysis Zamore, Stephen
2018
46 C p. 105-119
artikel
39 Tail risk and the return-volatility relation Aboura, Sofiane
2018
46 C p. 16-29
artikel
40 The compensation of busy directors: An international analysis Ferris, Stephen P.
2018
46 C p. 294-312
artikel
41 The economic value of business cycle forecasts for potential investors – Evidence from Germany Döpke, Jörg
2018
46 C p. 445-461
artikel
42 Variance risk premium and equity returns Fassas, Athanasios P.
2018
46 C p. 462-470
artikel
                             42 gevonden resultaten
 
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