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                             58 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 An international analysis of the economic cost for countries located in crisis zones Abu-Ghunmi, Diana

51 C p.
artikel
2 Bank risk, competition and bank connectedness with firms: A literature review Badarau, Cristina

51 C p.
artikel
3 Board diversity and stock price crash risk Jebran, Khalil

51 C p.
artikel
4 Can China reduce the carbon emissions of its manufacturing exports by moving up the global value chain? Liu, Huizheng

51 C p.
artikel
5 Commodity financialization and sector ETFs: Evidence from crude oil futures Liu, Pan

51 C p.
artikel
6 Competition and diversification in the European Banking Sector Căpraru, Bogdan

51 C p.
artikel
7 Corporate governance and life cycles in emerging markets Esqueda, Omar A.

51 C p.
artikel
8 Corporate governance, institutions, markets, and social factors Almaskati, Nawaf

51 C p.
artikel
9 Correlation between the 2014 EU-wide stress tests and the market-based measures of systemic risk Dissem, Sonia

51 C p.
artikel
10 Cryptocurrencies and stock market indices. Are they related? Gil-Alana, Luis Alberiko

51 C p.
artikel
11 Decomposing financial (in)stability in emerging economies Lepers, Etienne

51 C p.
artikel
12 Does supply network location affect corporate investment efficiency? Shi, Jinyan

51 C p.
artikel
13 Do foreign investments increase firm value and firm performance? Evidence from Japan Likitwongkajon, Napaporn

51 C p.
artikel
14 Do GCC market-oriented labor policies encourage inward FDI flows? Mina, Wasseem

51 C p.
artikel
15 Economic policy uncertainty and credit growth: Evidence from a global sample Nguyen, Canh Phuc

51 C p.
artikel
16 Economic policy uncertainty and stock price crash risk Luo, Yan

51 C p.
artikel
17 Editorial Board
51 C p.
artikel
18 Feedback trading and the ramadan effect in frontier markets Andrikopoulos, Panagiotis

51 C p.
artikel
19 Financial regulation and financial inclusion in Sub-Saharan Africa: Does financial stability play a moderating role? Anarfo, Ebenezer Bugri

51 C p.
artikel
20 Firm profitability and expected stock returns: Evidence from Latin America Berggrun, Luis

51 C p.
artikel
21 Forecasting financial time-series using data mining models: A simulation study Bou-Hamad, Imad

51 C p.
artikel
22 Household portfolio optimization with XTFs? An empirical study using the SHS-base Oehler, Andreas

51 C p.
artikel
23 How do European banks portray the effect of policy interest rates and prudential behavior on profitability? Campmas, Alexandra

51 C p.
artikel
24 Information-driven stock return comovements across countries Inaba, Kei-Ichiro

51 C p.
artikel
25 Is commercial real estate a good hedge against inflation? Evidence from South Africa Taderera, Marimo

51 C p.
artikel
26 Islamic and conventional portfolios optimization under investor sentiment states: Bayesian vs Markowitz portfolio analysis Trichilli, Yousra

51 C p.
artikel
27 Islamic finance development and banking ESG scores: Evidence from a cross-country analysis Paltrinieri, Andrea

51 C p.
artikel
28 Large shareholders’ power and the quality of corporate governance: An analysis of Brazilian firms Crisóstomo, Vicente Lima

51 C p.
artikel
29 Market concentration and bank competition in emerging asian countries over pre and post the 2008 global financial crisis Phan, Hanh Thi My

51 C p.
artikel
30 Measuring the multi-faceted dimension of liquidity in financial markets: A literature review Díaz, Antonio

51 C p.
artikel
31 Multiple banking relationships: Do SMEs mistrust their banks? Refait-Alexandre, Catherine

51 C p.
artikel
32 Mutual fund liquidity timing ability in the higher moment framework Wattanatorn, Woraphon

51 C p.
artikel
33 National culture and bank risk-taking: Contradictory case of individualism Illiashenko, Pavlo

51 C p.
artikel
34 On the investment credentials of Bitcoin: A cross-currency perspective Bedi, Prateek

51 C p.
artikel
35 Posterior analysis of mergers and acquisitions in the international financial market: A re-appraisal Rao, Ullas

51 C p.
artikel
36 Public policy and venture capital: Pursuing the disclosure goal Del Gaudio, Belinda L.

51 C p.
artikel
37 Publisher's Note
51 C p.
artikel
38 Stock price crash risk and CEO power: Firm-level analysis Harper, Joel

51 C p.
artikel
39 Sukuk market development and Islamic banks’ capital ratios Smaoui, Houcem

51 C p.
artikel
40 Taming the blockchain beast? Regulatory implications for the cryptocurrency Market Shanaev, Savva

51 C p.
artikel
41 The decade-long cryptocurrencies and the blockchain rollercoaster: Mapping the intellectual structure and charting future directions Klarin, Anton

51 C p.
artikel
42 The dynamics of earnings management in IPOs and the role of venture capital de Carvalho, Antonio Gledson

51 C p.
artikel
43 The effects of information disclosure regulation on stock markets: Evidence from Vietnam Hoang, Trang Cam

51 C p.
artikel
44 The effects of trading rights and ownership structures on the informativeness of accounting earnings: Evidence from China’ split share structure reform Zhang, Li

51 C p.
artikel
45 The impact of central bank transparency on systemic risk—Evidence from Central and Eastern Europe Andrieş, Alin Marius

51 C p.
artikel
46 The impact of corporate governance on financial performance of Indian and GCC listed firms: An empirical investigation Al-ahdal, Waleed M.

51 C p.
artikel
47 The impact of family-CEOs and their demographic characteristics on dividend payouts: Evidence from Latin America Briano-Turrent, Guadalupe D.C.

51 C p.
artikel
48 The impact of Russian sanctions on the return of agricultural commodity futures in the EU Klomp, Jeroen

51 C p.
artikel
49 The political economy of relationship banking Lončarski, Igor

51 C p.
artikel
50 The regulations–risk taking nexus under competitive pressure: What about the Islamic banking system? Louhichi, Awatef

51 C p.
artikel
51 The role of venture capital in SME loans in China Wu, Long

51 C p.
artikel
52 Unconventional monetary policy and stock repurchases: Firm-level evidence from a comparison between the United States and Japan Wang, Ling

51 C p.
artikel
53 Volatility dynamics of crypto-currencies’ returns: Evidence from asymmetric and long memory GARCH models Fakhfekh, Mohamed

51 C p.
artikel
54 Vulnerability to climate change: Are innovative countries in a better position? Abdelzaher, Dina M.

51 C p.
artikel
55 What drives U.S. financial sector volatility? A Bayesian model averaging perspective Gernát, Peter

51 C p.
artikel
56 When spread bites fast – Volatility and wide bid-ask spread in a mixed high-frequency and low-frequency environment Virgilio, Gianluca Piero Maria

51 C p.
artikel
57 Which form of hedging matters — Operational or financial? Evidence from the US oil and gas sector Laing, Elaine

51 C p.
artikel
58 Who moves the stock market in an emerging country – Institutional or retail investors? Koesrindartoto, Deddy P.

51 C p.
artikel
                             58 gevonden resultaten
 
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