Information environment and earnings management of dual class firms around the world.
T. Li, N. Zaiats
págs. 1-23
The impact of the European sovereign debt crisis on banks stocks. Some evidence of shift contagion in Europe.
J.-P. Allegret, H. Raymond, H. Rharrabti
págs. 24-37
One-sided performance measures under Gram-Charlier distributions.
A. León, M. Moreno
págs. 38-50
Organizational structure, risk-based capital requirements, and the sales of downgraded bonds.
E.P. Lu, G.C. Lai, Q. Ma
págs. 51-68
The international effect of managerial social capital on the cost of equity.
S.P. Ferris, D. Javakhadze, T. Rajkovic
págs. 69-84
Do delaware CEOs get fired?
M. Jagannathan, A. C. Pritchard
págs. 85-101
For banks, capital regulation and risk-taking.
J. Li
págs. 102-121
Suprised or not surprised? The investors' reaction to the comprehensive assessment preceding the launch of the banking union.
M Carboni, F. Fiordelisi, O. Ricci, F.S.S. Lopes
págs. 122-132
Special purpose entities and bank loan contracting.
J.-B. Kim, B.Y Song, Z. Wang
págs. 133-152
Excess reserves, monetary policy and financial volatility.
K. Primus
págs. 153-168
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