Country-level analyst recommendations and international stock market returns
H. Berkman, W. Yang
págs. 1-17
CEO and director compensation, CEO turnover and institutional investors: Is there cronyism in the UK?
J. Chen, M. Goergen, Woon Sau Leung, Wei Song
págs. 18-35
Earnings, risk-taking, and capital accumulation in small and large community banks
E. Balla, M.J. Rose
págs. 36-50
Does interest rate exposure explain the low-volatility anomaly?
Joost Driessen, I. Kuiper, K. Nazliben, R. Beilo
págs. 51-61
Least impulse response estimator for stress test exercises
Christian Gourieroux, Y. Lu
págs. 62-77
Investor horizons, long-term blockholders, and corporate social responsibility
S. GloBner
págs. 78-97
Growth in the shadow of debt
J.J. Lim
págs. 98-112
Bulk volume classification and information detection
Marios A. Panayides, T.D. Shohfi, J.D. Smith
págs. 113-129
Marginal cost of risk-based capital and risk-taking
T. Chen, J.R. Goh, S. Kamiya, P. Lou
págs. 130-145
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