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Ditemukan 122 dokumen dengan kata kunci 7353 |
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Review of Finance : Volume 17 Number 4 July 2013
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Pengarang: What Does Stock Ownership Breadth Measure?
James J. Choi, Li Jin and Hongjun Yan
Gender and Banking: Are Women Better Loan Officers?
Thorsten Beck, Patrick Behr and Andre Guettler
Securitization and Compensation in Financial Institutions
Roman Inderst and Sebastian Pfeil
Debt and Capacity Commitments
J. Chris Leach, Nathalie Moyen and Jing Yang
Do Banks Benefit from Internationalization? Revisiting the
Market Power–Risk Nexus
Claudia M. Buch, Cathérine T. Koch and Michael Koetter
Corporate Investments and Learning
Nathalie Moyen and Stefan Platikanov
The “Fed Model” and the Predictability of Stock Returns
Paulo Maio
Hedging Surprises, Jumps, and Model Misspecification:
A Risk Management Perspective on Hedging S&P
500 Options
Andreas Kaeck | No. Panggil: JOX_RoF_2013_3B |
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Koleksi: Jurnal Internasional ::
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Review of Finance : Volume 17 Number 5 September 2013
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Pengarang: Do Public Equity Markets Matter in Emerging Economies?
Evidence from India
Radhakrishnan Gopalan and Todd A. Gormley
Politically Connected Boards of Directors and The Allocation
of Procurement Contracts
Eitan Goldman, Jörg Rocholl and Jongil So
The Real Option Value of Cash
Michael Kisser
Trading and Under-Diversification
Anders Anderson
Are Monthly Seasonals Real? A Three Century Perspective
Cherry Y. Zhang and Ben Jacobsen
Why Do Firms Pay Dividends?: Evidence from an Early and
Unregulated Capital Market
John D. Turner, Qing Ye and Wenwen Zhan
Working Capital Management and Shareholders’ Wealth
Robert Kieschnick, Mark Laplante and Rabih Moussawi | No. Panggil: JOX_RoF_2013_4 |
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Koleksi: Jurnal Internasional ::
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Review of Finance : Volume 17 Number 6 November 2013
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Pengarang: Payment Defaults and Interfirm Liquidity Provision
Frederic Boissay and Reint Gropp
Product Market Linkages, Manager Quality, and Mutual
Fund Performance
Lixin Huang and Jayant R. Kale
The Risk Sensitivity of Capital Requirements: Evidence from
an International Sample of Large Banks
Francesco Vallascas and Jens Hagendorff
Governance and Equity Prices: Does Transparency Matter?
Lifeng Gu and Dirk Hackbarth
Risk in Islamic Banking
Pejman Abedifar, Philip Molyneux and Amine Tarazi
Irrationality or Efficiency of Macroeconomic Survey
Forecasts? Implications from the Anchoring Bias Test
Dieter Hess and Sebastian Orbe | No. Panggil: JOX_RoF_2013_5 |
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Koleksi: Jurnal Internasional ::
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Review of Finance : Volume 18 Number 1 January 2014
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Pengarang: The Speed of Information Revelation and Eventual Price
Quality in Markets with Insiders: Comparing Two Theories
Peter Bossaerts, Cary Frydman and John Ledyard
Stock Price Manipulation: Prevalence and Determinants
Carole Comerton-Forde and Ta - lis J. Putnin¸ sˇ
Corporate Governance Rules and Insider Trading Profits
Peter Cziraki, Peter de Goeij and Luc Renneboog
Your Former Employees Matter: Private Equity Firms and
Their Financial Advisors
Linus Siming
Optimal Portfolio Choice with Annuities and Life Insurance
for Retired Couples
Andreas Hubener, Raimond Maurer and Ralph Rogalla
Performance of Buyout Funds Revisited?
Ludovic Phalippou
Risk Premium, Variance Premium, and the Maturity
Structure of Uncertainty
Bruno Feunou, Jean-Sébastien Fontaine, Abderrahim
Taamouti and Roméo Tédongap
Activist Arbitrage, Lifeboats, and Closed-End Funds
Stephen L. Lenkey
Another Look at the Stock Return Response to Monetary
Policy Actions
Paulo Maio
Volatility Bounds, Size, and Real Activity Prediction
Belén Nieto and Gonzalo Rubio
The Impact of the Sarbanes–Oxley Act on Shareholders and
Managers of Foreign Firms
Jefferson Duarte, Katie Kong, Stephan Siegel and
Lance Young | No. Panggil: JOX_RoF_2014_1 |
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Koleksi: Jurnal Internasional ::
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Review of Finance : Volume 18 Number 2 April 2014
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Pengarang: The Impact of Public Guarantees on Bank Risk-Taking:
Evidence from a Natural Experiment
Reint Gropp, Christian Gruendl and Andre Guettler
Regulating Conflicts of Interest: The Effect of Sanctions and
Enforcement
Michel Dubois, Laurent Fresard and Pascal Dumontier
Do Firms Benefit from Concentrating their Borrowing?
Evidence from the Great Recession
Giorgio Gobbi and Enrico Sette
Investing in a Global World
Jeffrey A. Busse, Amit Goyal and Sunil Wahal
Implied Price Risk and Momentum Strategy
Hongwei Chuang and Hwai-Chung Ho
Don’t Fight the Fed!
Paulo Maio
The Impact of Asset Repurchases and Issues in an
Experimental Market
Ernan Haruvy, Charles N. Noussair and Owen Powell
Cash Flow Hedging and Liquidity Choices
David Disatnik, Ran Duchin and Breno Schmidt
Equity Issuances, Equity Mutual Fund Flows, and
Noise Trader Sentiment
H.H. Chiu and O. Kini
A Multiperiod Bank Run Model for Liquidity Risk
Gechun Liang, Eva Lütkebohmert and Yajun Xiao | No. Panggil: JOX_RoF_2014_2 |
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Review of Finance : Volume 18 Number 3 July 2014
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Pengarang: Do Anomalies Exist Ex Ante?
Yue Tang, Jin (Ginger) Wu and Lu Zhang
Are Small Businesses Worthy of Financial Aid? Evidence
from a French Targeted Credit Program
Laurent Bach
Does the Market for CEO Talent Explain Controversial CEO
Pay Practices?
K. J. Martijn Cremers and Yaniv Grinstein
A Study of Bankruptcy Costs and the Allocation of Control
Julian Franks and Gyongyi Loranth
Risk and Reward Preferences under Time Pressure
Anjali D. Nursimulu and Peter Bossaerts
Seasoned Equity Offerings, Corporate Governance, and
Investments
E. Han Kim and Amiyatosh Purnanandam
Venture Capital and Industry Structure: Evidence from Local
US Markets
Alexander Popov
Venture Capital Meets Contract Theory: Risky Claims or
Formal Control?
Giacinta Cestone
Does the Secondary Loan Market Reduce Borrowing
Costs?
Mark J. Kamstra, Gordon S. Roberts and Pei Shao
Peso Problems and Term Structure Anomalies of
Repo Rates
Xiaoneng Zhu | No. Panggil: JOX_RoF_2014_3A |
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Review of Finance : Volume 18 Number 4 July 2014
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Pengarang: Liberalization and Risk-Taking: Evidence from
Government-Controlled Banks
Manuel Illueca, Lars Norden and Gregory F. Udell
Do Hedge Funds Supply or Demand Liquidity?
Petri Jylhä, Kalle Rinne and Matti Suominen
Do Firms Buy Their Stock at Bargain Prices? Evidence from
Actual Stock Repurchase Disclosures
Azi Ben-Rephael, Jacob Oded and Avi Wohl
Financing Major Investments: Information about Capital
Structure Decisions
Ralf Elsas, Mark J. Flannery and Jon A. Garfinkel
Volatility Inadaptability: Investors Care About Risk, but
Cannot Cope with Volatility
Christian Ehm, Christine Kaufmann and Martin Weber
Cash Holdings and Mutual Fund Performance
Mikhail Simutin
Firm Expansion and Stock Price Momentum
Peter Nyberg and Salla Pöyry
Investor Sentiment for Real Assets: The Case of Dry Bulk
Shipping Market
Nikos C. Papapostolou, Nikos K. Nomikos, Panos K.
Pouliasis and Ioannis Kyriakou
Identifying the Interaction between Foreign Investor Flows
and Emerging Stock Market Returns
Numan Ülkü and Enzo Weber
Information Sharing and Information Acquisition in
Credit Markets
Artashes Karapetyan and Bogdan Stacescu | No. Panggil: JOX_RoF_2014_3B |
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Review of Finance : Volume 18 Number 5 August 2014
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Pengarang: Capital Structure under Heterogeneous Beliefs
Hae Won (Henny) Jung and Ajay Subramanian
The Real Effect of Foreign Banks
Valentina Bruno and Robert Hauswald
The Performance of Separate Accounts and Collective
Investment Trusts
Edwin J. Elton, Martin J. Gruber and Christopher R. Blake
Dealing with Venture Capitalists: Shopping Around or
Exclusive Negotiation
Catherine Casamatta and Carole Haritchabalet
Default Correlations in the Merton Model
Ulrich Erlenmaier and Hans Gersbach
Bank Regulations and Income Inequality: Empirical Evidence
Manthos D. Delis, Iftekhar Hasan and Pantelis Kazakis
International Diversification Benefits with Foreign Exchange
Investment Styles
Tim A. Kroencke, Felix Schindler and Andreas Schrimpf
Downside Market Risk of Carry Trades
Victoria Dobrynskaya
How do Financial Intermediaries Create Value in Security
Issues?
Fabrizio Adriani, Luca G. Deidda and Silvia Sonderegger
Non-Markov Gaussian Term Structure Models: The Case of
Inflation
Bruno Feunou and Jean-Sébastien Fontaine | No. Panggil: JOX_RoF_2014_4 |
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Review of Finance : Volume 18 Number 6 October 2014
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Pengarang: Corporate Governance and the Timing of Earnings
Announcements
Roni Michaely, Amir Rubin and Alexander Vedrashko
Collective Action Clauses for the Eurozone
Michael Bradley and Mitu Gulati
Decomposing Euro-Area Sovereign Spreads: Credit and
Liquidity Risks
Alain Monfort and Jean-Paul Renne
Predatory Short Selling
Markus K. Brunnermeier and Martin Oehmke
Bargaining with Venture Capitalists: When Should
Entrepreneurs Show their Financial Muscle?
Antoine Renucci
Once Burned, Twice Shy? Financial Literacy and Wealth
Losses during the Financial Crisis
Tabea Bucher-Koenen and Michael Ziegelmeyer
Hidden Costs of Hidden Debt
Johan Almenberg and Artashes Karapetyan
Optimal Life-Cycle Portfolios for Heterogeneous Workers
Fabio C. Bagliano, Carolina Fugazza and Giovanna Nicodano
Systematic Trading Behavior and the Cross-Section of
Stock Returns on the OMXH
Henry Leung, Annica Rose and P. Joakim Westerholm
Cautiousness, Skewness Preference, and the Demand for
Options
James Huang and Richard Stapleton | No. Panggil: JOX_RoF_2014_5 |
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Review of Finance : Volume 19 Number 1 March 2015
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Pengarang: Assessing Measures of Order Flow Toxicity and Early
Warning Signals for Market Turbulence
Torben G. Andersen and Oleg Bondarenko
China’s Pseudo-monetary Policy
Yongheng Deng, Randall Morck, Jing Wu and Bernard Yeung
Monetary Policy, Risk-Taking, and Pricing: Evidence from a
Quasi-Natural Experiment
Vasso Ioannidou, Steven Ongena and José-Luis Peydró
Systemic Risk in Europe
Robert Engle, Eric Jondeau and Michael Rockinger
Depositors’ Perception of “Too-Big-to-Fail”
Raquel de F. Oliveira, Rafael F. Schiozer and
Lucas A. B. de C. Barros
Strategic Cross-Trading in the U.S. Stock Market
Paolo Pasquariello and Clara Vega
Insuring Nonverifiable Losses
Neil A. Doherty, Christian Laux and Alexander Muermann
Social Engagement and Stock Market Participation
Frederick K. Changwony, Kevin Campbell and
Isaac T. Tabner
Consumption Volatility and the Cross-Section of Stock Returns
Roméo Tédongap
Recession Prediction Using Yield Curve and Stock Market
Liquidity Deviation Measures
Oral Erdogan, Paul Bennett and Cenktan Ozyildirim
Equilibrium Predictability, Term Structure of Equity Premia,
and Other Return Characteristics
Satadru Hore
Portfolio Optimization Using Forward-Looking Information
Alexander Kempf, Olaf Korn and Sven Saßning | No. Panggil: JOX_RoF_2015_1A |
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