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                             20 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 A Bet on Passive Investment Strategies Luis Ferruz
2007
2 p. 67-78
artikel
2 Analysis of Weak-Form Efficiency on the Nigerian Stock Market: Further Evidence from GARCH Model Okpara Godwin Chigozie
2010
2 p. 62-66
artikel
3 An Empirical Study on IT Stock Price Movement in India G. Chakrabarti
2011
2 p. 138-148
artikel
4 An Empirical Study on the Impact of Earnings per Share on Stock Prices of a Listed Bank in Malaysia A. Seetharaman
2011
2 p. 114-126
artikel
5 An Evaluation Study on the Turkish Manufacturing Enterprises Applying Target Costing M. Kocsoy
2008
2 p. 51-69
artikel
6 Asymmetric Policy Shocks and Real Output Fluctuations in Nigeria (1960-2004) M.O. Saibu
2007
2 p. 88-96
artikel
7 Capital Adequacy, Cost Income Ratio and the Performance of Commercial Banks: The Kenyan Scenario D.M. Mathuva
2009
2 p. 35-47
artikel
8 Determinants of Foreign Trade Deficits in the Turkish Economy Sabri Azgun
2011
2 p. 149-156
artikel
9 Eliminating Health Disparities Call to Action in Iran Hamid Sepehrdoust
2009
2 p. 22-34
artikel
10 Estimation of Capital Asset Pricing Model at Different Time Scales Application to French Stock Market Najet Rhaiem
2007
2 p. 79-87
artikel
11 Lending Decision Making and Financial Information: The Usefulness of Corporate Annual Reports to Lenders in Botswana E.G. Kitindi
2007
2 p. 55-66
artikel
12 Managing Behind the Scenes: Employee Empowerment H. Ongori
2008
2 p. 84-94
artikel
13 Microfinance Programs and Social Capital Formation: The Present Scenario in a Rural Village of Bangladesh Saharia Kanak
2007
2 p. 97-104
artikel
14 Political Contributions for Trade Policy and National Public Finance Katsuzo Yamamoto
2008
2 p. 70-83
artikel
15 Socially Responsible Investment: Mutual Funds. Global and Local Trends Luis Ferruz
2007
2 p. 120-125
artikel
16 Study of Stylized Facts in Indian Financial Markets Indranil Mukherjee
2011
2 p. 127-137
artikel
17 The Effect of Financial Liberalization on Selected Macroeconomic Variables: Lesson From Nigeria G.C. Okpara
2010
2 p. 53-61
artikel
18 Using the Transformation Method to Evaluate The Probability Density Function of z = xα yβ Seifedine Kadry
2007
2 p. 105-112
artikel
19 Volatility Regimes and Calendar Anomaly in Foreign Exchange Market Gagari Chakrabarti
2011
2 p. 97-113
artikel
20 Wavelet Estimation of Systematic Risk at Different Time Scales Application to French Stock Market N. Rhaeim
2007
2 p. 113-119
artikel
                             20 gevonden resultaten
 
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