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The Review of Financial Studies : Volume 27 • Number 5 • May 2014
Pengarang: Do Security Analysts Speak in Two Tongues? Ulrike Malmendier and Devin Shanthikumar Investor Networks in the Stock Market Han N. Ozsoylev, Johan Walden, M. Deniz Yavuz, and Recep Bildik Wisdom of Crowds: The Value of Stock Opinions Transmitted Through Social Media Hailiang Chen, Prabuddha De, Yu (Jeff rey) Hu, and Byoung-Hyoun Hwang Household Debt and Social Interactions Dimitris Georgarakos, Michael Haliassos, and Giacomo Pasini Liquidity Shocks and Stock Market Reactions Turan G. Bali, Lin Peng, Yannan Shen, and Yi Tang Communication and Decision-Making in Corporate Boards Nadya Malenko Board Expertise: Do Directors from Related Industries Help Bridge the Information Gap? Nishant Dass, Omesh Kini, Vikram Nanda, Bunyamin Onal, and Jun Wang The Year-End Trading Activities of Institutional Investors: Evidence from Daily Trades Gang Hu, R. David McLean, Jeff rey Pontiff , and Qinghai Wang | No. Panggil: JOX_RFS_2014_5 |
Koleksi: Jurnal Internasional  :: Cari yang mirip  :: Tambahkan ke Favorit  ::
The Review of Financial Studies : Volume 26 • Number 5 • May 2013
Pengarang: An Institutional Theory of Momentum and Reversal Dimitri Vayanos and Paul Woolley Book-to-Market Equity, Financial Leverage, and the Cross-Section of Stock Returns Iulian Obreja Corporate Leverage, Debt Maturity, and Credit Supply: The Role of Credit Default Swaps Alessio Saretto and Heather E. Tookes Indirect Costs of Financial Distress in Durable Goods Industries: The Case of Auto Manufacturers Ali Hortaçsu, Gregor Matvos, Chad Syverson, and Sriram Venkataraman Entangled Financial Systems Adam Zawadowski Economic Linkages, Relative Scarcity, and Commodity Futures Returns Jaime Casassus, Peng Liu, and Ke Tang | No. Panggil: JOX_RFS_2013_5 |
Koleksi: Jurnal Internasional  :: Cari yang mirip  :: Tambahkan ke Favorit  ::
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 |
Koleksi: Jurnal Internasional  :: Cari yang mirip  :: Tambahkan ke Favorit  ::
The Review of Financial Studies : Volume 27 • Number 1 • January 2014
Pengarang: Entrepreneurial Finance and Innovation: An Introduction and Agenda for Future Research Thomas J. Chemmanur and Paolo Fulghieri The Consequences of Entrepreneurial Finance: Evidence from Angel Financings William R. Kerr, Josh Lerner, and Antoinette Schoar Venture Capitalists on Boards of Mature Public Firms Ugur Celikyurt, Merih Sevilir, and Anil Shivdasani Informational Holdup and Performance Persistence in Venture Capital Yael V. Hochberg, Alexander Ljungqvist, and Annette Vissing-Jřrgensen The Capital Structure Decisions of New Firms Alicia M. Robb and David T. Robinson Real Option Financing Under Asymmetric Information Matthieu Bouvard Tolerance for Failure and Corporate Innovation Xuan Tian and Tracy Yue Wang Incentives to Innovate and the Decision to Go Public or Private Daniel Ferreira, Gustavo Manso, and André C. Silva Wrongful Discharge Laws and Innovation Viral V. Acharya, Ramin P. Baghai, and Krishnamurthy V. Subramanian Interbank Liquidity Crunch and the Firm Credit Crunch: Evidence from the 2007–2009 Crisis Rajkamal Iyer, José-Luis Peydró, Samuel da-Rocha-Lopes, and Antoinette Schoar | No. Panggil: JOX_RFS_2014_1 |
Koleksi: Jurnal Internasional  :: Cari yang mirip  :: Tambahkan ke Favorit  ::
The Review of Financial Studies : Volume 27 • Number 2 • February 2014
Pengarang: Procyclical Leverage and Value-at-Risk Tobias Adrian and Hyun Song Shin Why Did Holdings of Highly Rated Securitization Tranches Diff er So Much across Banks? Isil Erel, Taylor Nadauld, and René M. Stulz Securitization and Loan Performance: Ex Ante and Ex Post Relations in the Mortgage Market Wei Jiang, Ashlyn Aiko Nelson, and Edward Vytlacil The Economics of Solicited and Unsolicited Credit Ratings Paolo Fulghieri, Günter Strobl, and Han Xia Asset Prices with Heterogeneity in Preferences and Beliefs Harjoat S. Bhamra and Raman Uppal When There Is No Place to Hide: Correlation Risk and the Cross-Section of Hedge Fund Returns Andrea Buraschi, Robert Kosowski, and Fabio Trojani Common Errors: How to (and Not to) Control for Unobserved Heterogeneity Todd A. Gormley and David A. Matsa | No. Panggil: JOX_RFS_2014_2 |
Koleksi: Jurnal Internasional  :: Cari yang mirip  :: Tambahkan ke Favorit  ::
The Review of Financial Studies : Volume 27 • Number 3 • March 2014
Pengarang: Bond Supply and Excess Bond Returns Robin Greenwood and Dimitri Vayanos Expectations of Returns and Expected Returns Robin Greenwood and Andrei Shleifer Do Dark Pools Harm Price Discovery? Haoxiang Zhu Expected Returns and Dividend Growth Rates Implied by Derivative Markets Benjamin Golez Optimal Portfolio Choice with Predictability in House Prices and Transaction Costs Stefano Corradin, José L. Fillat, and Carles Vergara-Alert Speculation and Hedging in Segmented Markets Itay Goldstein, Yan Li, and Liyan Yang Preventing Zombie Lending Max Bruche and Gerard Llobet | No. Panggil: JOX_RFS_2014_3 |
Koleksi: Jurnal Internasional  :: Cari yang mirip  :: Tambahkan ke Favorit  ::
The Review of Financial Studies : Volume 27 • Number 4 • April 2014
Pengarang: Repo Runs Antoine Martin, David Skeie, and Ernst-Ludwig von Thadden Limited and Varying Consumer Attention: Evidence from Shocks to the Salience of Bank Overdraft Fees Victor Stango and Jonathan Zinman Stock Return Serial Dependence and Out-of-Sample Portfolio Performance Victor DeMiguel, Francisco J. Nogales, and Raman Uppal Financial Flexibility, Risk Management, and Payout Choice Alice Adams Bonaimé, Kristine Watson Hankins, and Jarrad Harford Internal Capital Market and Dividend Policies: Evidence From Business Groups Radhakrishnan Gopalan, Vikram Nanda, and Amit Seru Resource Allocation within Firms and Financial Market Dislocation: Evidence from Diversifi ed Conglomerates Gregor Matvos and Amit Seru Opaque Trading, Disclosure, and Asset Prices: Implications for Hedge Fund Regulation David Easley, Maureen O’Hara, and Liyan Yang The Growth and Limits of Arbitrage: Evidence from Short Interest Samuel G. Hanson and Adi Sunderam | No. Panggil: JOX_RFS_2014_4 |
Koleksi: Jurnal Internasional  :: Cari yang mirip  :: Tambahkan ke Favorit  ::
The Review of Financial Studies : Volume 27 • Number 6 • June 2014
Pengarang: Illiquidity Contagion and Liquidity Crashes Giovanni Cespa and Thierry Foucault Investors’ and Central Bank’s Uncertainty Embedded in Index Options Alexander David and Pietro Veronesi Frictions in Shadow Banking: Evidence from the Lending Behavior of Money Market Mutual Funds Sergey Chernenko and Adi Sunderam Co-opted Boards Jeff rey L. Coles, Naveen D. Daniel, and Lalitha Naveen Attracting Investor Attention through Advertising Dong Lou Heterogeneity and Stability: Bolster the Strong, Not the Weak Dong Beom Choi Financial Market Dislocations Paolo Pasquariello Index Option Returns: Still Puzzling Donald R. Chambers, Matthew Foy, Jeff rey Liebner, and Qin Lu | No. Panggil: JOX_RFS_2014_6 |
Koleksi: Jurnal Internasional  :: Cari yang mirip  :: Tambahkan ke Favorit  ::
The Review of Financial Studies : Volume 27 • Number 7 • July 2014
Pengarang: Do Going-Private Transactions Aff ect Plant Effi ciency and Investment? Sreedhar Bharath, Amy Dittmar, and Jagadeesh Sivadasan Valuing Private Equity Morten Sorensen, Neng Wang, and Jinqiang Yang Smart Money? The Eff ect of Education on Financial Outcomes Shawn Cole, Anna Paulson, and Gauri Kartini Shastry Risk Choice under High-Water Marks Itamar Drechsler Microprudential Regulation in a Dynamic Model of Banking Gianni De Nicolň, Andrea Gamba, and Marcella Lucchetta Misspecifi cation-Robust Inference in Linear Asset-Pricing Models with Irrelevant Risk Factors Nikolay Gospodinov, Raymond Kan, and Cesare Robotti Frog in the Pan: Continuous Information and Momentum Zhi Da, Umit G. Gurun, and Mitch Warachka The Variety of Maturities Off ered by Firms and Institutional Investment in Corporate Bonds Nishant Dass and Massimo Massa | No. Panggil: JOX_RFS_2014_7 |
Koleksi: Jurnal Internasional  :: Cari yang mirip  :: Tambahkan ke Favorit  ::
The Review of Financial Studies : Volume 27 • Number 8 • August 2014
Pengarang: High-Frequency Trading and Price Discovery Jonathan Brogaard, Terrence Hendershott, and Ryan Riordan The Swaption Cube Anders B. Trolle and Eduardo S. Schwartz Do Lenders Still Monitor When They Can Securitize Loans? Yihui Wang and Han Xia Does Stock Liquidity Aff ect Incentives to Monitor? Evidence from Corporate Takeovers Peter Roosenboom, Frederik P. Schlingemann, and Manuel Vasconcelos Corporate Venture Capital, Value Creation, and Innovation Thomas J. Chemmanur, Elena Loutskina, and Xuan Tian Prior Client Performance and the Choice of Investment Bank Advisors in Corporate Acquisitions Valeriy Sibilkov and John J. McConnell Advance Disclosure of Insider Trading Stephen L. Lenkey | No. Panggil: JOX_RFS_2014_8 |
Koleksi: Jurnal Internasional  :: Cari yang mirip  :: Tambahkan ke Favorit  ::
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