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Review of Finance : Volume 19 Number 1 March 2015
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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Review of Finance : Volume 19 Number 2 March 2015
Pengarang: Ending “Too Big To Fail”: Government Promises Versus Investor Perceptions Todd A. Gormley, Simon Johnson and Changyong Rhee Multiple Bank Lending, Creditor Rights, and Information Sharing Alberto Bennardo, Marco Pagano and Salvatore Piccolo The Effects of Government-Sponsored Venture Capital: International Evidence James A. Brander, Qianqian Du and Thomas Hellmann Performance Terms in CEO Compensation Contracts David De Angelis and Yaniv Grinstein Small Banks and Local Economic Development Hendrik Hakenes, Iftekhar Hasan, Philip Molyneux and Ru Xie Financial Network Systemic Risk Contributions Nikolaus Hautsch, Julia Schaumburg and Melanie Schienle Household Portfolio Risk Alessandro Bucciol and Raffaele Miniaci Casting Doubt on the Predictability of Stock Returns in Real Time: Bayesian Model Averaging using Realistic Priors James A. Turner Taxation, Transfer Income and Stock Market Participation Marcel Fischer and Bjarne Astrup Jensen Stealth Trading and Trade Reporting by Corporate Insiders André Betzer, Jasmin Gider, Daniel Metzger and Erik Theissen Variance Reduction for Asian Options under a General Model Framework Kemal Dinçer Dingeç, Halis Sak and Wolfgang Hörmann | No. Panggil: JOX_RoF_2015_1B |
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Review of Finance : Volume 19 Number 5 August 2015
Pengarang: Convective Risk Flows in Commodity Futures Markets Ing-Haw Cheng, Andrei Kirilenko and Wei Xiong Private Equity Fund Returns and Performance Persistence Robert Marquez, Vikram Nanda and M. Deniz Yavuz Exporting Sovereign Stress: Evidence from Syndicated Bank Lending during the Euro Area Sovereign Debt Crisis Alexander Popov and Neeltje Van Horen Trade Credit, Relationship-specific Investment, and Product Market Power Nishant Dass, Jayant R. Kale and Vikram Nanda Stock Market Literacy, Trust, and Participation Adnan Balloch, Anamaria Nicolae and Dennis Philip Market Size Structure and Small Business Lending: Are Crisis Times Different from Normal Times? Allen N. Berger, Geraldo Cerqueiro and María Fabiana Penas The Conditional Effects of Market Power on Bank Risk—Cross-Country Evidence Jens Forssbæck and Choudhry Tanveer Shehzad Stock Market Integration and the Global Financial Crisis Heikki Lehkonen | No. Panggil: JOX_RoF_2015_4 |
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The Review of Financial Studies : Volume 28 • Number 1 • January 2015
Pengarang: The Sum of All FEARS Investor Sentiment and Asset Prices Zhi Da, Joseph Engelberg, and Pengjie Gao Investor Attention and Stock Market Volatility Daniel Andrei and Michael Hasler Weather-Induced Mood, Institutional Investors, and Stock Returns William N. Goetzmann, Dasol Kim, Alok Kumar, and Qin Wang The Implicit Costs of Trade Credit Borrowing by Large Firms Justin Murfi n and Ken Njoroge Shadow Banking and Bank Capital Regulation Guillaume Plantin Securitization and the Fixed-Rate Mortgage Andreas Fuster and James Vickery Regression Discontinuity and the Price Eff ects of Stock Market Indexing Yen-Cheng Chang, Harrison Hong, and Inessa Liskovich Feedback Trading between Fundamental and Nonfundamental Information Ming Guo and Hui Ou-Yang | No. Panggil: JOX_RFS_2015_1 |
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The Review of Financial Studies : Volume 28 • Number 2 • February 2015
Pengarang: Strategic Investment and Industry Risk Dynamics M. Cecilia Bustamante Corporate Investment and Stock Market Listing: A Puzzle? John Asker, Joan Farre-Mensa, and Alexander Ljungqvist Capital Supply Uncertainty, Cash Holdings, and Investment Julien Hugonnier, Semyon Malamud, and Erwan Morellec Are Mutual Funds Active Voters? Peter Iliev and Michelle Lowry Liquidity and Shareholder Activism Øyvind Norli, Charlotte Ostergaard, and Ibolya Schindele Ownership Structure, Voting, and Risk Amrita Dhillon and Silvia Rossetto Labor Protection and Leverage Elena Simintzi, Vikrant Vig, and Paolo Volpin Agency Problems of Corporate Philanthropy Ronald W. Masulis and Syed Walid Reza | No. Panggil: JOX_RFS_2015_2 |
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The Review of Financial Studies : Volume 28 • Number 4 • April 2015
Pengarang: Money Creation and the Shadow Banking System Adi Sunderam Human Capital as an Asset Class Implications from a General Equilibrium Model Miguel Palacios The Worst, the Best, Ignoring All the Rest: The Rank Eff ect and Trading Behavior Samuel M. Hartzmark The Costs of Closing Failed Banks: A Structural Estimation of Regulatory Incentives Ari Kang, Richard Lowery, and Malcolm Wardlaw The Geography of Funding Markets and Limits to Arbitrage Andrea Buraschi, Murat Menguturk, and Emrah Sener Traders vs. Relationship Managers: Reputational Confl icts in Full-Service Investment Banks Zhaohui Chen, Alan D. Morrison, and William J. Wilhelm, Jr. Predictable Corporate Distributions and Stock Returns Hendrik Bessembinder and Feng Zhang Post-Earnings-Announcement Drift in Global Markets: Evidence from an Information Shock Mingyi Hung, Xi Li, and Shiheng Wang | No. Panggil: JOX_RFS_2015_4 |
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The Review of Financial Studies : Volume 28 • Number 5 • May 2015
Pengarang: New Evidence on the Financialization of Commodity Markets Brian J. Henderson, Neil D. Pearson, and Li Wang Redefi ning Financial Constraints: A Text-Based Analysis Gerard Hoberg and Vojislav Maksimovic Dynamics of Innovation and Risk Bruno Biais, Jean-Charles Rochet, and Paul Woolley The Informational Role of Stock and Bond Volume Kerry Back and Kevin Crotty Modeling Covariance Risk in Merton’s ICAPM Alberto G. Rossi and Allan Timmermann Monotonicity of the Stochastic Discount Factor and Expected Option Returns Ranadeb Chaudhuri and Mark Schroder Robust Econometric Inference for Stock Return Predictability Alexandros Kostakis, Tassos Magdalinos, and Michalis P. Stamatogiannis | No. Panggil: JOX_RFS_2015_5 |
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The Review of Financial Studies : Volume 28 • Number 6 • June 2015
Pengarang: Capital Account Opening and Wage Inequality Mauricio Larrain Does Takeover Activity Cause Managerial Discipline? Evidence from International M&A Laws Ugur Lel and Darius P. Miller Learning About CEO Ability and Stock Return Volatility Yihui Pan, Tracy Yue Wang, and Michael S. Weisbach When Less Is More: The Benefi ts of Limits on Executive Pay Peter Cebon and Benjamin E. Hermalin The Invisible Hand of Short Selling: Does Short Selling Discipline Earnings Management? Massimo Massa, Bohui Zhang, and Hong Zhang The Real Eff ects of Short-Selling Constraints Gustavo Grullon, Sébastien Michenaud, and James P. Weston Does Financing Spur Small Business Productivity? Evidence from a Natural Experiment Karthik Krishnan, Debarshi K. Nandy, and Manju Puri Financial Distress, Stock Returns, and the 1978 Bankruptcy Reform Act Dirk Hackbarth, Rainer Haselmann, and David Schoenherr | No. Panggil: JOX_RFS_2015_6 |
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The Review of Financial Studies : Volume 28 • Number 8 • August 2015
Pengarang: Shareholder Voting and Corporate Governance Around the World Peter Iliev, Karl V. Lins, Darius P. Miller, and Lukas Roth The Bright Side of Corporate Diversifi cation: Evidence from Internal Labor Markets Geoff rey Tate and Liu Yang Territorial Tax System Reform and Corporate Financial Policies Matteo P. Arena and George W. Kutner What’s in a Name? Mutual Fund Flows When Managers Have Foreign-Sounding Names Alok Kumar, Alexandra Niessen-Ruenzi, and Oliver G. Spalt Information Management in Banking Crises Joel Shapiro and David Skeie Can “High Costs” Justify Weak Demand for the Home Equity Conversion Mortgage? Thomas Davidoff House Prices, Home Equity Borrowing, and Entrepreneurship Stefano Corradin and Alexander Popov Testing for Information Asymmetries in Real Estate Markets Pablo Kurlat and Johannes Stroebel | No. Panggil: JOX_RFS_2015_8 |
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The Review of Financial Studies : Volume 28 • Number 9 • September 2015
Pengarang: Financing Constraints and the Amplifi cation of Aggregate Downturns Daniel Carvalho Capital Structure, Investment, and Fire Sales Douglas Gale and Piero Gottardi A Theory of Income Smoothing When Insiders Know More Than Outsiders Viral V. Acharya and Bart M. Lambrecht Valuation, Adverse Selection, and Market Collapses Michael J. Fishman and Jonathan A. Parker On Bounding Credit-Event Risk Premia Jennie Bai, Pierre Collin-Dufresne, Robert S. Goldstein, and Jean Helwege Why Are University Endowments Large and Risky? Thomas Gilbert and Christopher Hrdlicka Optimal Tax Timing with Asymmetric Long-Term/Short-Term Capital Gains Tax Min Dai, Hong Liu, Chen Yang, and Yifei Zhong | No. Panggil: JOX_RFS_2015_9 |
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