Digitale Bibliotheek
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                             77 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 A bibliometric review of dividend policy literature Ed-Dafali, Slimane

65 C p.
artikel
2 A comparative analysis of cryptocurrency returns and economic policy uncertainty pre- and post-Covid-19 Umar, Muhammad

65 C p.
artikel
3 Banking relationship and research spin-offs’ life cycle: The Italian experience Fasano, Francesco

65 C p.
artikel
4 BeFi meets DeFi: A behavioral finance approach to decentralized finance asset pricing Bennett, Donyetta

65 C p.
artikel
5 Border disputes, conflicts, war, and financial markets research: A systematic review Pandey, Dharen Kumar

65 C p.
artikel
6 Can compulsory liability insurance reduce agency costs? Evidence from China Wang, Di

65 C p.
artikel
7 Can enhancing financial inclusivity lower climate risks by inhibiting carbon emissions? Contextual evidence from emerging economies Murshed, Muntasir

65 C p.
artikel
8 Changes in the market structure and risk management of Bitcoin and its forked coins Kong, Xiaolin

65 C p.
artikel
9 Common ownership and executive pay-for-performance sensitivity: Evidence from China Xu, Tianli

65 C p.
artikel
10 Corporate bond liquidity and yield spreads: A review Goldstein, Michael A.

65 C p.
artikel
11 COVID-19, a blessing in disguise for the Tech sector: Evidence from stock price crash risk Hossain, Ashrafee T.

65 C p.
artikel
12 Dependence and risk spillovers among clean cryptocurrencies prices and media environmental attention Ndubuisi, Gideon

65 C p.
artikel
13 Deposit insurance system, risk-adjusted premium and bank systemic risk: Evidence from China Chen, Qian

65 C p.
artikel
14 Did mega-regional trade agreements reshuffle the financial influence of the US, China, and Japan in ASEAN? Evidence from the volatility-spillover effects Cao, Li

65 C p.
artikel
15 Direct and spillover portfolio effects of COVID-19 Ding, Haoyuan

65 C p.
artikel
16 Directional predictability from central bank digital currency to cryptocurrencies and stablecoins Ayadi, Ahmed

65 C p.
artikel
17 Disentangling the impact of economic and health crises on financial markets Bariviera, Aurelio F.

65 C p.
artikel
18 Diversification benefits of NFTs for conventional asset investors: Evidence from CoVaR with higher moments and optimal hedge ratios Umar, Zaghum

65 C p.
artikel
19 Does job mismatch affect wage earnings among business and management graduates in Vietnam? Tran, Tuyen Quang

65 C p.
artikel
20 Does reinforcement learning outperform deep learning and traditional portfolio optimization models in frontier and developed financial markets? Ngo, Vu Minh

65 C p.
artikel
21 Does the source of uncertainty matter? The impact of financial, newspaper and Twitter-based measures on U.S. banks Bales, Stephan

65 C p.
artikel
22 Do green financial policies offset the climate transition risk penalty imposed on long-term sovereign bond yields? Cheng, Ruijie

65 C p.
artikel
23 Economic policy uncertainty, institutional environments, and corporate cash holdings El Ghoul, Sadok

65 C p.
artikel
24 Editorial Board
65 C p.
artikel
25 Effect of operating multiple affiliates on the performance of subsidiaries in the same host country Kowalewski, Oskar

65 C p.
artikel
26 Effects of family ownership and family management on the performance of entrepreneurial firms Reddy, Krishna

65 C p.
artikel
27 Entropic approximate learning for financial decision-making in the small data regime Vecchi, Edoardo

65 C p.
artikel
28 ESG disclosure and technological innovation capabilities of the Chinese listed companies Chen, Lifeng

65 C p.
artikel
29 ESG, time horizons, risks and stock returns Dinh, Minh Thi Hong

65 C p.
artikel
30 European systemic credit risk transmission using Bayesian networks Ballester, Laura

65 C p.
artikel
31 Financial market spillovers and macroeconomic shocks: Evidence from China Feng, Haoyuan

65 C p.
artikel
32 Financial networks and systemic risk vulnerabilities: A tale of Indian banks Ahmad, Wasim

65 C p.
artikel
33 Fleeing entrepreneurs: Foreign residency right and corporate risk-taking Meng, Qingbin

65 C p.
artikel
34 Forecasting aggregate stock market volatility with industry volatilities: The role of spillover index He, Mengxi

65 C p.
artikel
35 Forecasting state- and MSA-level housing returns of the US: The role of mortgage default risks Bouras, Christos

65 C p.
artikel
36 Global economic uncertainty and the Chinese stock market: Assessing the impacts of global indicators Zhang, Lixia

65 C p.
artikel
37 Growth vs value investing: Persistence and time trend before and after COVID-19 Monge, Manuel

65 C p.
artikel
38 Have cryptocurrencies become an inflation hedge after the reopening of the U.S. economy? Sakurai, Yuji

65 C p.
artikel
39 Heterogeneous Social network shape ability and willingness of rural residents to repay loans in China Li, Qinghai

65 C p.
artikel
40 Impact of corporate governance and related controversies on the market value of banks Komath, Muhammed Aslam Chelery

65 C p.
artikel
41 Impact of fiscal stimulus on volatility: A cross-country analysis Gu, Tiantian

65 C p.
artikel
42 Institutional cross-ownership and stock price crash risk Hou, Canran

65 C p.
artikel
43 Institutional investor information network, analyst forecasting and stock price crash risk Gong, Xiao-Li

65 C p.
artikel
44 Interpretable selective learning in credit risk Chen, Dangxing

65 C p.
artikel
45 Investigating volatility spillover of energy commodities in the context of the Chinese and European stock markets Yadav, Miklesh Prasad

65 C p.
artikel
46 Investor flow-chasing and price–performance puzzle: Evidence from global infrastructure funds Xu, Ruihui

65 C p.
artikel
47 Is there an optimal microcredit size to maximize the social and financial efficiencies of microfinance institutions? Blanco-Oliver, A.J.

65 C p.
artikel
48 Macroeconomic impact of the Sino–U.S. trade frictions: Based on a two-country, two-sector DSGE model Yang, Shanran

65 C p.
artikel
49 Managerial overconfidence and corporate cash holdings: Evidence from primary and secondary data Thi Tuyet Dao, Nhung

65 C p.
artikel
50 Market segmentation and international diversification across country and industry portfolios Umutlu, Mehmet

65 C p.
artikel
51 Modelling bank customer behaviour using feature engineering and classification techniques Abedin, Mohammad Zoynul

65 C p.
artikel
52 Money in the time of crypto Bibi, Samuele

65 C p.
artikel
53 Multilayer networks in the frequency domain: Measuring extreme risk connectedness of Chinese financial institutions Ouyang, Zisheng

65 C p.
artikel
54 On the short-term persistence of mutual fund performance in Europe Hammouda, Amira

65 C p.
artikel
55 Patent pledge policy and stock price crash risk: Evidence from China Xie, Linlin

65 C p.
artikel
56 Policy uncertainty and bank’s funding costs: The effects of the financial crisis, Covid-19 pandemic, and market discipline Tran, Dung Viet

65 C p.
artikel
57 Predicting macro-financial instability – How relevant is sentiment? Evidence from long short-term memory networks Kanzari, Dalel

65 C p.
artikel
58 Price behavior of small-cap stocks and momentum: A study using principal component momentum Eom, Cheoljun

65 C p.
artikel
59 Private equity valuation under time-inconsistent preferences Bian, Yuxiang

65 C p.
artikel
60 Quantile dependencies and connectedness between the gold and cryptocurrency markets: Effects of the COVID-19 crisis Mensi, Walid

65 C p.
artikel
61 R&D manipulation and SEO pricing in the Chinese capital market: The information effect of inefficient investment Liu, Duan

65 C p.
artikel
62 Retail investor trading and ESG pricing in China Liu, Xufeng

65 C p.
artikel
63 Return and volatility properties: Stylized facts from the universe of cryptocurrencies and NFTs Ghosh, Bikramaditya

65 C p.
artikel
64 Return–volume nexus in financial markets: A survey of research Yamani, Ehab

65 C p.
artikel
65 Social trust and the demand for audit quality Kuo, Nan-Ting

65 C p.
artikel
66 Target firms’ characteristics and the effects of sovereign wealth funds’ investments: Does cultural context of SWFs matter? Gangi, Francesco

65 C p.
artikel
67 The crowding-out effect of zombie companies on fixed asset investment: Evidence from China Ren, Meixu

65 C p.
artikel
68 The impact of central bank digital currency news on the stock and cryptocurrency markets: Evidence from the TVP-VAR model Helmi, Mohamad Husam

65 C p.
artikel
69 The interpretation of CBDC within an endogenous money framework Bibi, Samuele

65 C p.
artikel
70 Too sunny to borrow: Sunshine and borrower discouragement Bertrand, Jérémie

65 C p.
artikel
71 Trade matters except to war neighbors: The international stock market reaction to 2022 Russia’s invasion of Ukraine Silva, Thiago Christiano

65 C p.
artikel
72 Understanding resource deployment efficiency for ESG and financial performance: A DEA approach Cheng, Louis T.W.

65 C p.
artikel
73 Venture capital financing in the eSports industry Niculaescu, Corina-Elena

65 C p.
artikel
74 Venture capital investment and institutional factors: Evidence from China Song, Tianyi

65 C p.
artikel
75 When stock price crash risk meets fundamentals Meng, Yongqiang

65 C p.
artikel
76 Wholesale funding and bank stability: The impact of economic policy uncertainty Nguyen, Thanh Cong

65 C p.
artikel
77 Working capital as a firm performance savior? Evidence from Scandinavian countries Hassan, M. Kabir

65 C p.
artikel
                             77 gevonden resultaten
 
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