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Ditemukan 187 dokumen dengan kata kunci 8772 |
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Review of Finance : Volume 17 Number 1 January 2013
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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 |
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Koleksi: Jurnal Internasional ::
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Review of Finance : Volume 17 Number 2 April 2013
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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 |
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Koleksi: Jurnal Internasional ::
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Review of Finance : Volume 17 Number 3 July 2013
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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 |
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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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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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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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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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Review of Finance : Volume 19 Number 2 March 2015
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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 3 May 2015
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Pengarang: Funding Versus Real Economy Shock: The Impact of the
2007–09 Crisis on Small Firms’ Credit Availability
Gunhild Berg and Karolin Kirschenmann
Modeling the Dynamics of Correlations among Implied
Volatilities
Robert Engle and Stephen Figlewski
Improving Investment Decisions with Simulated Experience
Meike A. S. Bradbury, Thorsten Hens and Stefan Zeisberger
Learning about Rare Disasters: Implications For
Consumption and Asset Prices
Max Gillman, Michal Kejak and Michal Pakoš
Informed Headquarters and Socialistic Internal Capital
Markets
Daniel Hoang and Martin Ruckes
The Impact of Weather on German Retail Investors
Jochen M. Schmittmann, Jenny Pirschel, Steffen Meyer and
Andreas Hackethal
Bank Risk and Competition: Evidence from Regional
Banking Markets
Thomas Kick and Esteban Prieto
Jump-Diffusion Long-Run Risks Models, Variance Risk
Premium, and Volatility Dynamics
Jianjian Jin
Credit Markets with Ethical Banks and Motivated Borrowers
Francesca Barigozzi and Piero Tedeschi
Stakeholder Governance, Competition, and Firm Value
Franklin Allen, Elena Carletti and Robert Marquez | No. Panggil: JOX_RoF_2015_2 |
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Review of Finance : Volume 19 Number 4 July 2015
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Pengarang: How Much Can Financial Literacy Help?
Luigi Guiso and Eliana Viviano
Performance Pay, CEO Dismissal, and the Dual Role of
Takeovers
Mike Burkart and Konrad Raff
The Profits–Leverage Puzzle Revisited
Murray Z. Frank and Vidhan K. Goyal
The Effect of Earned Versus House Money on Price Bubble
Formation in Experimental Asset Markets
Brice Corgnet, Roberto Hernán-González, Praveen Kujal
and David Porter
Acquiring Acquirers
Ludovic Phalippou, Fangming Xu and Huainan Zhao
Emerging Equity Market Comovements: Trends and
Macroeconomic Fundamentals
Esther Eiling and Bruno Gerard
The Impact of Dark Trading and Visible Fragmentation on
Market Quality
Hans Degryse, Frank de Jong and Vincent van Kervel
Improved Portfolio Choice Using Second-Order Stochastic
Dominance
James E. Hodder, Jens Carsten Jackwerth and
Olga Kolokolova
Short-Term Trading and Stock Return Anomalies: Momentum,
Reversal, and Share Issuance
Martijn Cremers and Ankur Pareek
Herding Behavior and Rating Convergence among Credit
Rating Agencies: Evidence from the Subprime Crisis
Stefano Lugo, Annalisa Croce and Robert Faff | No. Panggil: JOX_RoF_2015_3 |
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