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1.

Private equity returns and disclosure around the world
by Cumming, Douglas

Journal of international business studies, 2010, Vol.41 (4), p.727-754

7.

Risk, Uncertainty, and Expected Returns
by Bali, Turan G

Journal of financial and quantitative analysis, 2016, Vol.51 (3), p.707-735

9.

SPECULATION AND RISK SHARING WITH NEW FINANCIAL ASSETS
by Simsek, Alp

The Quarterly journal of economics, 2013, Vol.128 (3), p.1365-1396

11.

Financial Information Globalization and Foreign Investment Decisions
by Amiram, Dan

Journal of international accounting research, 2012, Vol.11 (2), p.57-81

12.

Investor Protection, Equity Returns, and Financial Globalization
by Giannetti, Mariassunta

Journal of financial and quantitative analysis, 2010, Vol.45 (1), p.135-168

16.

Health and (Other) Asset Holdings
by Hugonnier, Julien

The Review of economic studies, 2013, Vol.80 (2 (283)), p.663-710

18.

Behavioral Portfolio Theory
by Shefrin, Hersh

Journal of financial and quantitative analysis, 2000, Vol.35 (2), p.127-151

19.

Corporate Governance and the Home Bias
by Dahlquist, Magnus

Journal of financial and quantitative analysis, 2003, Vol.38 (1), p.87-110

20.

Understanding Portfolio Efficiency with Conditioning Information
by Penaranda, Francisco

Journal of financial and quantitative analysis, 2016, Vol.51 (3), p.985-1011

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