Offshore activities and financial vs operational hedging
Gerard Hoberg, S. Katie Moon
págs. 217-244
Reputation and signaling in asset sales
Barney Hartman-Glaser
págs. 245-265
Bank capital, liquid reserves, and insolvency risk
Julien Hugonnier, Erwan Morellec
págs. 266-285
The impacts of political uncertainty on asset prices: Evidence from the Bo scandal in China
Laura Xiaolei Liu, Haibing Shu, K.C. John Wei
págs. 286-310
Moral hazard in active asset management
David C. Brown, Shaun William Davies
págs. 311-325
Firm characteristics, consumption risk, and firm-level risk exposures
Robert F. Dittmar, Christian T. Lundblad
págs. 326-343
U.S. multinationals and cash holdings
Tiantian Hu
págs. 344-368
Employment protection and takeovers
Olivier Dessaint, Andrey Golubov, Paolo Volpin
págs. 369-388
Option repricing, corporate governance, and the effect of shareholder empowerment
HUSEYIN GULEN, William J. O'Brien
págs. 389-415
Corrigendum to “Optimal consumption, portfolio and life insurance rules for an uncertain lived individual in a continuous time model” [Journal of Financial Economics 2 (1975) 187–203]
Scott F. Richard
pág. 416
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