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ZBW - Digitales Archiv
Multinational Finance Society
Multinational finance journal
PPN 34190693X, ZSP 353
Collection's Items (Sorted by Submit Date in Descending order): 21 to 40 of 40
< previous
Year of Publication
Title
Person(s)
2019
Earnings quality and book-to-marketin the cross section of expected returns
Athanasakou, Vasiliki
;
Athanassakos, George
2019
The valuation of deposit insurance premiums based on a specific bank's official default probability
Chiang, Shu Ling
;
Tsai, Ming-shann
2019
Deep-market by IAS-19 : a unified cross-country approach for discount rate selection
Kedar-Levy, Haim
;
Hadad, Elroi
;
Gur-Gershgore, Gitit
2018
Greek sovereign debt : addressing economic distress and growth in the Euro Area
Alexakis, Panayiotis
;
Hardouvelis, Gikas A.
;
Paxson, Dean A.
;
Sick, Gordon A.
;
Trigeorgis, Lenos
2018
The evolving nature of asset price bubbles, financial instability and monetary policy
Malliaris, Anastasios G.
2018
A comparative GARCH analysis of macroeconomic variables and returns on modelling the Kurtosis of FTSE 100 implied volatility index
Alsheikhmubarak, Abdulilah Ibrahim
;
Giouvris, Evangelos
2019
Working capital investment : a comparative study : Canada versus the United States
Khokhar, Abdul-Rahman
2017
Bank profitability and regulation in emerging European markets
Agoraki, Maria Eleni
;
Tsamis, Anastasios
2019
Cash flows, and bank performance : developed and developing countries
Faruqi, Fatima
;
Ahsan, Tanveer
;
Mirza, Sultan Sikandar
;
Zia-ur-Rehman, Rao
2017
Investment and cash flows in internal capital markets : evidence from Korean business groups
Choi, Yoon K.
;
Han, Seung Hun
;
Lee, Sangwon
2017
Relative efficiency of component GARCH-EVT approach in managing intraday market risk
Paul, Samit
;
Karmakar, Madhusudan
2018
Banking crisis in Cyprus : causes, consequences and recent developments
Brown, Scott
;
Demetriou, Demetra
;
Theodossiou, Panayiotis
2019
Examining dynamic interdependencies among major global financial markets
Sehgal, Sanjay
;
Saini, Sakshi
;
Deisting, Florent
2019
Are funds of hedge funds efficient? : an empirical analysis for North American, Asia Pacific, and European long/short funds of hedge funds
Nguyen, Lan T. P.
;
Malick Ousmane, Sy
;
Cheng Ming Yu
;
Hossain, Sayed
;
Chen, Tan B.
2018
The risk-asymmetry index as a new measure of risk
Elyasiani, Elyas
;
Gambarelli, Luca
;
Muzzioli, Silvia
2018
Wealth effects of bond rating announcements
Zabolotnyuk, Yuriy
2017
Dynamic autocorrelation and international portfolio allocation
Kinnunen, Jyri
;
Martikainen, Minna
2017
Asymmetric fund performance characteristics a comparison of European and US large-cap funds
Högholm, Kenneth
;
Knif, Johan
;
Koutmos, Gregory
;
Pynnönen, Seppo
2017
Are expatriates managing banks' CEE subsidiaries more risk takers?
Voinea, Liviu
;
Cazacu, Ana-Maria
;
Neagu, Florian
2017
An analysis of spillovers between Islamic and conventional stock bank returns : evidence from the GCC countries
Mseddi, Slim
;
Benlagha, Noureddine
Collection's Items (Sorted by Submit Date in Descending order): 21 to 40 of 40
< previous
Browse
Person
3
Papaioannou, Michael G.
2
Deisting, Florent
2
Demetriou, Demetra
2
Duggar, Elena
2
Saini, Sakshi
2
Sehgal, Sanjay
1
Agoraki, Maria Eleni
1
Agostini, Gabriel
1
Ahsan, Tanveer
1
Al-Khazali, Osamah
.
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year of Publication
2
2022
10
2021
15
2019
6
2018
7
2017
language (ISO)
40
English (eng)