Housing bust, bank lending & employment: Evidence from multimarket banks
David Glancy
pág. 1
The nexus between loan portfolio size and volatility: Does bank capital regulation matter?
Franziska Bremus, Melina Ludolph
pág. 2
Insider trading and the legal expertise of corporate executives
Chao Jiang, M. Babajide Wintoki, Yaoyi Xi
pág. 3
Liquidity and the cross-section of international stock returns
Nusret Cakici, Adam Zaremba
pág. 4
Investable commodity premia in China
Robert J. Bianchi, John Hua Fan, Tingxi Zhang
pág. 5
Corporate social responsibility and corporate misconduct
Daniel Ferrés, Francisco Marcet
pág. 6
Momentum life cycle, revisited
Tsung-Yu Chen, Pin-Huang Chou, Chia-Hsun Hsieh, S. Ghon Rhee
pág. 7
The impact of RMB’s SDR inclusion on price discovery in onshore-offshore markets
Yu-Lun Chen, Ke Xu
pág. 8
The model and its consistency with the intertemporal CAPM
Qi Lin
pág. 9
Is idiosyncratic volatility related to returns? Evidence from a subset of firms with quality idiosyncratic volatility estimates
Mikael Bergbrant, Haimanot Kassa
pág. 10
Interest arbitrage under capital controls: Evidence from reported entrepôt trades
Jiafei Hu, Haishan Yuan
pág. 11
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