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                             44 results found
no title author magazine year volume issue page(s) type
1 Accounting standards and banking regulation: Some effects of divergence Downing, Jeff
2019
47 C p. 386-397
article
2 An investigation of the short-term performance of the Canadian IPO market. Killins, Robert N.
2019
47 C p. 102-113
article
3 Assessing the degree of financial integration in ASEAN—A perspective of banking competitiveness Zhang, Tiantian
2019
47 C p. 487-500
article
4 Chaos in G7 stock markets using over one century of data: A note Tiwari, Aviral Kumar
2019
47 C p. 304-310
article
5 Colonialism ties and stock markets: Evidence from Sub-Saharan Africa Donou-Adonsou, Ficawoyi
2019
47 C p. 327-343
article
6 Contagion and bond pricing: The case of the ASEAN region Abid, Ilyes
2019
47 C p. 371-385
article
7 Coping with impact investing antagonistic objectives: A multistakeholder approach Alijani, Sharam
2019
47 C p. 10-17
article
8 Corporate social responsibility and dividend policy Benlemlih, Mohammed
2019
47 C p. 114-138
article
9 Disentangling the impact of securitization on bank profitability Bakoush, Mohamed
2019
47 C p. 519-537
article
10 Do banks learn from financial crisis? The experience of Nordic banks Berglund, Tom
2019
47 C p. 428-440
article
11 Does investment in trade credit matter for profitability? Evidence from publicly listed agro-food firms Dary, Stanley K.
2019
47 C p. 237-250
article
12 Does the long-run monetary model hold for Sub-Saharan Africa? A time series and panel-cointegration study Ibhagui, Oyakhilome W.
2019
47 C p. 279-303
article
13 Dollarization and the “unbundling” of globalization in sub-Saharan Africa Ajide, Kazeem B.
2019
47 C p. 398-409
article
14 Do public-private partnerships benefit private sector? Evidence from an emerging market Chauhan, Yogesh
2019
47 C p. 563-579
article
15 Editorial Board 2019
47 C p. ii
article
16 Effects of the geopolitical risks on Bitcoin returns and volatility Aysan, Ahmet Faruk
2019
47 C p. 511-518
article
17 Empirical analysis of intertemporal relations between downside risks and expected returns—Evidence from Asian markets Chiang, Thomas C.
2019
47 C p. 264-278
article
18 Estimating the conditional equity risk premium in African frontier markets Othieno, Ferdinand
2019
47 C p. 538-551
article
19 Ethico-economic analysis of impact finance: The case of Green Bonds Paranque, Bernard
2019
47 C p. 57-66
article
20 Explaining the competition for FDI: Evidence from Costa Rica and cross-national industry-level FDI data Bailey, Nicholas
2019
47 C p. 67-77
article
21 Financial constraints on investment: Effects of firm size and the financial crisis Driver, Ciaran
2019
47 C p. 441-457
article
22 Foreign exchange interventions in Brazil and their impact on volatility: A quantile regression approach Viola, Alessandra Pasqualina
2019
47 C p. 251-263
article
23 Host country institutions and firm-level R&D influences: An analysis of European Union FDI in China Cai, Huifen
2019
47 C p. 311-326
article
24 How biased is the behavior of the individual investor in warrants? Abreu, Margarida
2019
47 C p. 139-149
article
25 Informational inefficiency of Bitcoin: A study based on high-frequency data Zargar, Faisal Nazir
2019
47 C p. 344-353
article
26 Interdependence among agricultural commodity markets, macroeconomic factors, crude oil and commodity index Fernandez-Diaz, Jose M.
2019
47 C p. 174-194
article
27 Loan delinquency in banking systems: How effective are credit reporting systems? Ghosh, Saibal
2019
47 C p. 220-236
article
28 Managerial overconfidence, internal financing, and investment efficiency: Evidence from China He, Ying
2019
47 C p. 501-510
article
29 Moderating influences on the ERM maturity-performance relationship Farrell, Mark
2019
47 C p. 616-628
article
30 Momentum effects in China: A review of the literature and an empirical explanation of prevailing controversies Yang, Yunlin
2019
47 C p. 78-101
article
31 Performance of impact investing: A value creation approach Viviani, Jean-Laurent
2019
47 C p. 31-39
article
32 Politically connected boards, ownership structure and credit risk: Evidence from Chinese commercial banks Boateng, Agyenim
2019
47 C p. 162-173
article
33 Political regimes, investment and electoral uncertainty Marcelin, Isaac
2019
47 C p. 580-599
article
34 Reverse splits in international stock markets: Reconciling the evidence on long-term returns Zaremba, Adam
2019
47 C p. 552-562
article
35 Risk perceptions and risk management approaches of Chinese overseas investors: An empirical investigation Ullah, Subhan
2019
47 C p. 470-486
article
36 Social impact measurement: What can impact investment practices and the policy evaluation paradigm learn from each other? Dufour, Bryan
2019
47 C p. 18-30
article
37 Social media and stock price reaction to data breach announcements: Evidence from US listed companies Rosati, Pierangelo
2019
47 C p. 458-469
article
38 Social uncertainty evaluation in Social Impact Bonds: Review and framework Scognamiglio, Elisabetta
2019
47 C p. 40-56
article
39 Sustainable finance. A critical realist perspective Lagoarde-Segot, Thomas
2019
47 C p. 1-9
article
40 The firm-specific determinants of capital structure – An empirical analysis of firms before and during the Euro Crisis Moradi, Amir
2019
47 C p. 150-161
article
41 The forward premium anomaly in the energy futures markets: A time-varying approach Charfeddine, Lanouar
2019
47 C p. 600-615
article
42 The impact of competition on cost efficiency of insurance and takaful sectors: Evidence from GCC markets based on the Stochastic Frontier Analysis Alshammari, Ahmad Alrazni
2019
47 C p. 410-427
article
43 Voluntary disclosure and market competition: Theory and evidence from the U.S. services sector Orhun, Eda
2019
47 C p. 354-370
article
44 What is going on with studies on banking efficiency? Abreu, Emmanuel Sousa de
2019
47 C p. 195-219
article
                             44 results found
 
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