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Review of Finance : Volume 17 Number 2 April 2013
Pengarang: The Determinants of Mutual Fund Performance: A Cross-Country Study Miguel A. Ferreira, Aneel Keswani, António F. Miguel, and Sofia B. Ramos Say on Pay Votes and CEO Compensation: Evidence from the UK Fabrizio Ferri and David A. Maber Do Investors Suffer from Money Illusion? A Direct Test of the Modigliani–Cohn Hypothesis Daniella Acker and Nigel W. Duck Performance Evaluation and Financial Market Runs Wolf Wagner Noise Trading and Illusory Correlations in US Equity Markets Jennifer C. Bender, Carol L. Osler, and David Simon Competition, Bonuses, and Risk-taking in the Banking Industry Christina E. Bannier, Eberhard Feess, and Natalie Packham Institutional Investors as Minority Shareholders Assaf Hamdani and Yishay Yafeh Evolutionary Beliefs and Financial Markets Elyès Jouini, Clotilde Napp, and Yannick Viossat Equity Issues and Return Volatility Borja Larrain and Felipe Varas Sources of Momentum Profits: Evidence on the Irrelevance of Characteristics Pavel Bandarchuk and Jens Hilscher | No. Panggil: JOX_RoF_2013_2 |
Koleksi: Jurnal Internasional  :: Cari yang mirip  :: Tambahkan ke Favorit  ::
The Review of Financial Studies : Volume 26 • Number 4 • April 2013
Pengarang: What Drives Stock Price Movements? Long Chen, Zhi Da, and Xinlei Zhao Understanding the Puzzling Risk-Return Relationship for Housing Lu Han The Delegated Lucas Tree Ron Kaniel and Péter Kondor Optimal Corporate Governance in the Presence of an Activist Investor Jonathan B. Cohn and Uday Rajan What Motivates Minority Acquisitions? The Trade-Off s between a Partial Equity Stake and Complete Integration Paige Parker Ouimet Optimal Convergence Trade Strategies Jun Liu and Allan Timmermann | No. Panggil: JOX_RFS_2013_4 |
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The Review Of Economic Studies : Vol. 80(2) No. 283 April 2013
Pengarang: Groupthink: Collective Delusions in Organizations and Markets Roland Bénabou 429 Regime Switches, Agents’ Beliefs, and Post-World War II U.S. Macroeconomic Dynamics Francesco Bianchi 463 Liquidity, Risk, and Occupational Choices Milo Bianchi and Matteo Bobba 491 Leadership, Coordination, and Corporate Culture Patrick Bolton, Markus K. Brunnermeier and Laura Veldkamp 512 Effi cient Likelihood Evaluation of State-Space Representations David N. DeJong, Roman Liesenfeld, Guilherme V. Moura, Jean-François Richard 538 and Hariharan Dharmarajan Should Day Care be Subsidized? David Domeij and Paul Klein 568 Insurance and Taxation over the Life Cycle Emmanuel Farhi and Iván Werning 596 Banking: A New Monetarist Approach Chao Gu, Fabrizio Mattesini, Cyril Monnet and Randall Wright 636 Health and (Other) Asset Holdings Julien Hugonnier, Florian Pelgrin and Pascal St-Amour 663 Credit Constraints, Heterogeneous Firms, and International Trade Kalina Manova 711 Consumption-Based Asset Pricing with Higher Cumulants Ian W. R. Martin 745 The Three Horsemen of Riches: Plague, War, and Urbanization in Early Modern Europe Nico Voigtländer and Hans-Joachim Voth 774 Optimal Contracts with Shirking John Y. Zhu 812 | No. Panggil: JOX_RES_2013_2 |
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Review of Finance : Volume 17 Number 1 January 2013
Pengarang: Mortgage Market Design John Y. Campbell The Fundamentals of Commodity Futures Returns Gary B. Gorton, Fumio Hayashi and K. Geert Rouwenhorst Precautionary Hoarding of Liquidity and Interbank Markets: Evidence from the Subprime Crisis Viral V. Acharya and Ouarda Merrouche Bottom-Up Corporate Governance Augustin Landier, Julien Sauvagnat, David Sraer and David Thesmar Comovement of Newly Added Stocks with National Market Indices: Evidence from Around the World Stijn Claessens and Yishay Yafeh The Effect of Financing Constraints on Risk Huidan Lin and Daniel Paravisini Payout Policy Choices and Shareholder Investment Horizons José-Miguel Gaspar, Massimo Massa, Pedro Matos, Rajdeep Patgiri, and Zahid Rehman A Theory of Net Debt and Transferable Human Capital Bart M. Lambrecht and Grzegorz Pawlina How the 52-Week High and Low Affect Option-Implied Volatilities and Stock Return Moments Joost Driessen, Tse-Chun Lin, and Otto Van Hemert Dynamic Interactions Between Interest-Rate and Credit Risk: Theory and Evidence on the Credit Default Swap Term Structure Ren-Raw Chen, Xiaolin Cheng, and Liuren Wu Modeling Market Downside Volatility Bruno Feunou, Mohammad R. Jahan-Parvar, and Roméo Tédongap | No. Panggil: JOX_RoF_2013_1 |
Koleksi: Jurnal Internasional  :: Cari yang mirip  :: Tambahkan ke Favorit  ::
Review of Finance : Volume 17 Number 3 July 2013
Pengarang: Who takes Risks When and Why: Determinants of Changes in Investor Risk Taking Martin Weber, Elke U. Weber, and Alen Nosic´ Portfolio Pumping, Trading Activity and Fund Performance Sugato Bhattacharyya and Vikram Nanda Investor Sentiment and Return Comovements: Evidence from Stock Splits and Headquarters Changes Alok Kumar, Jeremy K. Page, and Oliver G. Spalt Portfolio Choice and Mental Health Vicki L. Bogan and Angela R. Fertig The Effect of Issuer Conservatism on IPO Pricing and Performance Stephen P. Ferris, (Grace) Qing Hao, and (Stella) Min-Yu Liao The World Business Cycle and Expected Returns Ilan Cooper and Richard Priestley Three Solutions to the Pricing Kernel Puzzle Thorsten Hens and Christian Reichlin When Do Managers Seek Private Equity Backing in Public-to-Private Transactions? Jana P. Fidrmuc, Alessandro Palandri, Peter Roosenboom, and Dick van Dijk Hedge Funds and Equity Prices Yawen Jiao Market Selection and Welfare in a Multi-asset Economy Yurii Fedyk, Christian Heyerdahl-Larsen, and Johan Walden | No. Panggil: JOX_RoF_2013_3A |
Koleksi: Jurnal Internasional  :: Cari yang mirip  :: Tambahkan ke Favorit  ::
Review of Finance : Volume 17 Number 4 July 2013
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 |
Koleksi: Jurnal Internasional  :: Cari yang mirip  :: Tambahkan ke Favorit  ::
Review of Finance : Volume 17 Number 5 September 2013
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 |
Koleksi: Jurnal Internasional  :: Cari yang mirip  :: Tambahkan ke Favorit  ::
Review of Finance : Volume 17 Number 6 November 2013
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 |
Koleksi: Jurnal Internasional  :: Cari yang mirip  :: Tambahkan ke Favorit  ::
Review of Finance : Volume 18 Number 2 April 2014
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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The Review of Asset Pricing Studies : Volume 3 • Number 2 • December 2013
Pengarang: Does the Fed Control Interest Rates? Eugene F. Fama Does Active Management Pay? New International Evidence Alexander Dyck, Karl V. Lins, and Lukasz Pomorski The Puzzle of Index Option Returns George M. Constantinides, Jens Carsten Jackwerth, and Alexi Savov Call-Put Implied Volatility Spreads and Option Returns James S. Doran, Andy Fodor, and Danling Jiang | No. Panggil: JOX_RAPS_2013_2 |
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