Acepted Papers
List Acepted Papers- Random Order
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Investment Cycles and Startup Innovation |
Ramana Nanda, Harvard University, United States Matthew Rhodes-Kropf, Harvard University, United States |
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Capital gains taxes, agency costs, and closed-end fund discounts |
Michael Brennan, UCLA, United States Ravi Jain, National University of Singapore, Singapore |
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Updating History |
Rüdiger Stucke, University of Oxford, United Kingdom |
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Winners in the Spotlight: Media Coverage of Fund Holdings as a Driver of Flows |
Denis Sosyura, University of Michigan, United States David Solomon, University of Southern California, United States Eugene Soltes, Harvard Business School, United States |
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Competing on Speed |
Emiliano Pagnotta, New York University,United States Thomas Philippon, New York University, United States |
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Portfolio Diversification in International Corporate Bond Markets |
Edith Liu, Cornell University, United States |
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The CDS-Bond Basis During the Financial Crisis of 2007-2009 |
Jennie Bai, Federal Reserve of New York, United States Pierre Collin-dufresne, Columbia University, United States |
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The Role of Media Coverage in Corporate China |
Jiwei Wang, Singapore Management University, Singapore kangtao Ye, Renmin University of China, China |
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Technical Analysis, Momentum and Autocorrelation |
Ki Hoon Hong, University of Cambridge, United Kingdom Steve Satchell, University of Cambridge, United Kingdom |
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Political Participation and Firm Behavior: Evidence from China |
Anders Johansson, Stockholm School of Economics, Sweden Xunan Feng, Shanghai University, China |
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Securitized Lending, Asymmetric Information, and Financial Crisis: New Perspectives for Regulation |
Sudipto Bhattacharya, London School of Economics and Political Science, United Kingdom Georgy Chabakauri, London School of Economics and Political Science, United Kingdom Kjell Nyborg, University of Zurich, Switzerland |
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Does the Tail Wag the Dog? The Effect of Credit Default Swaps on Credit Risk |
Marti Subrahmanyam, New York University, Stern School of Business, United States Dragon Tang, The University of Hong Kong Sarah Wang, The University of Hong Kong, Hong Kong |
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Cross Sectional Determinants of the Bid-Ask Spread: Evidence from an Emerging Order Driven Market |
Priyanka Singh, Indian Institute of Management (IIM), Ahmedabad, India |
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Credit Supply and the Price of Housing |
Giovanni Favara, International Monetary Fund (IMF), United States Jean Imbs, Paris School of Economics, France |
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Wealth, Labour Income, Stock Returns, Government Bond Yields, and Systemic Risk |
Ricardo Sousa, London School of Economics and Political Science, United Kingdom |
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Voluntary financial disclosure, the introduction of IFRS and long-term communication policy: An empirical test on French firms |
Hubert de La Bruslerie, University Paris Dauphine, France Heger Gabteni, ESG Management School Paris, France |
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The Media and the Diffusion of Information in Financial Markets: Evidence from Newspaper Strikes |
Joel Peress, INSEAD, France |
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Cost of Government and Firm Value: Helping Hand or Grabbing Hand? |
Stephen Gong, School of Accounting and Finance, Hong Kong Polytechnic University, Hong Kong Michael Firth, Department of Finance and Insurance, Lingnan University, Hong Kong Liwei Shan, Research Institute of Economics and Management, Southwestern University of Finance and Economics, Sichuan, China |
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Evaluating Predictors within a Present-Value Framework |
Jhe Yun, University of Chicago, United States |
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Production and Hedging Implications of Executive Compensation Schemes |
Sagi Akron, The Graduate School of Management, University of Haifa, Israel Simon Benninga, The Graduate School of Business Administration, Tel Aviv Universit, Israel |
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Clustering and matching of US banks during the crisis |
Andreja Bandelj, Bocconi University, Italy |
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Anticipation and Timing in Takeover Waves |
Pablo Moran, University of British Columbia, Canada |
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Institutional Investors and the Information Production Theory of Stock Splits |
Thomas Chemmanur, Boston College, United States Jiekun Huang, National University of Singapore, Singapore |
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Cash Holdings and Financial Constraints |
Boris Albul, UC Berkeley, Haas School of Business, United States |
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Motivating information Acquisition in Strategic Settings |
Andres Zambrano, UCLA, United States |
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Optimal Multiple Listing Service Size and Brokerage Commission Rate |
Abdullah Yavas, University of Wisconsin, United States Lingxiao Li, Unversity of Wisconsin, United States |
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Partner-Selection Decisions by Lead Investors: Empirical Results from Buyout Syndicates |
Randy Priem, Katholieke Universiteit Leuven, Belgium Nancy Huyghebaert Katholieke Universiteit Leuven, Belgium Linda Van de Gucht, Katholieke Universiteit Leuven, Belgium |
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How Does Debt Create Shareholder Value when expected agency costs are extreme? A New Perspective |
Guangzhong Li, Central University of Finance and Economics, China Armen Hovakimian, CUNY-Baruch College, United States |
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Technology Spillovers from FDI: The Case of ASEAN |
Ning Yu, Renmin University of China, China Yonghong Tu, Renmin University of China, China Xiao Tan, Renmin University of China, China |
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Rating-Induced Default Risk and Downgrade Hesitation |
Hermann Elendner, Vienna Graduate School of Finance (VGSF), Austria |
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A Dynamic Equilibrium Model of Imperfectly Integrated Financial Markets |
Nicolas Coeurdacier, SciencesPo, France Stephane Guibaud, London School of Economics, United Kingdom |
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The Role of Analysts’ Cash Flow Forecasts in the Decline of the Accruals Anomaly |
Partha Mohanram, University of Toronto - Rotman School of Management, Canada |
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Financial Risk Management and the Rational Lapse Strategy in Life Insurance Policies |
Lihang WANG, University Paris Dauphine, France Aymeric Kalife, University Paris Dauphine, France |
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Insider Trading with Uncertain Informed Trading |
Tao Li, City University of Hong Kong, Hong Kong |
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Market Sentiment and dividend policy cross sectional evidence |
Bo Zhao, The George Washington University, United States |
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Securitization of Corporate Assets and Executive Compensation |
Ilham Riachi, Louvain School of Management- Université Catholique de Louvain-la-Neuve, Belgium Armin Schwienbacher, Université Lille Nord de France – SKEMA Business School, France |
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Higher-Moment Risk Exposures in Hedge Funds |
Marie Lambert, Maastricht University (Netherlands) and Free University of Brussels (Belgium), Netherlands Georges Hübner, HEC Management School of the University of Liege (Belgium), Belgium |
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Changing Expectations and the Correlation of Stocks and Bonds |
Farouk Jivraj, Imperial College Business School, United Kingdom Robert Kosowski, Imperial College Business School, United Kingdom |
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What determines the market share of investment banks in Chinese IPOs? |
Weidong Xu, Katholieke Unitversity Leuven/FWO, Belgium Nancy Huyghebaert, Katholieke University Leuven, Belgium |
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Intraday Periodicity and temporal aggregation Evidence from Indian Commodity Futures Market |
Vivek Rajvanshi, Indian Institute of Management Calcutta, India B.B Chakrabarti, Indian Institute of Management Calcutta, India |
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Is Historical Cost Accounting a Panacea? Market Stress, Incentive Distortions, and Gains Trading |
Andrew Ellul, Indiana University, United States Christian Lundblad, University of North Carolina,United States Yihui Wang, Chinese University of Hong Kong, Hong Kong |
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Performance of Chinese Owned Banks’ in Hong Kong 2004-2010 |
Xiaoxi Zhang, University of Western Sydney, Australia |
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Regulating The Amount of Short-Term Debt |
Havva Özlem Dursun, Vienna Graduate School of Finance, Austria |
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An Empirical Study of Capital Structure Dynamics, with Conditioning on Earnings |
Andrew Carverhill, University of Hong Kong, Hong Kong |
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Endogenous Liquidity and Financial Instability |
Leslie Young, Chinese University of Hong Kong, Hong Kong Chak Wong, Chinese University of Hong Kong, Hong Kong |
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Asset Prices and the Joint Formation of Habit and Beliefs |
Roberto Marfè, Swiss Finance Institute and University of Lausanne, Switzerland |
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Empirical Performance of GARCH Option Pricing models: Evidence from 139,879 Individual Stock Options |
Lars Stentoft, HEC Montreal, Canada |
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A Model of Endogenous Cross-Holdings in Oligopoly |
Cheng-Zhong Qin, University of California, Santa Barbara, United States Shengping Zhang, Peking University, China Dandan Zhu, University of California, Santa Barbara |
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Size Matters! How Position Sizing Determines Risk and Return of Technical Timing Strategies |
Peter Scholz, Frankfurt School of Finance & Management, Germany |
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Unexpected Media Coverage and stock market outcomes: evidence from chemical disasters |
Marie-aude Laguna, Université Paris-Dauphine, France |
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Interday and Intraday Periodicities and Volatility Forecast |
Vivek Rajvanshi, Indian Institute of Management Calcutta, India B.B Chakrabarti, Indian Institute of Management Calcutta, India |
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International Capital Flows and Liquidity |
Dimitrios Vagias, Rotterdam School of Management, Erasmus University, Netherlands Mathijs van Dijk, Rotterdam School of Management, Erasmus University, Netherlands |
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Married to the Firm? Family Ownership, Performance, and Financing in Private Firms |
Sharon Belenzon, Duke University, Fuqua School of Business, United States Rebecca Zarutskie, Duke University, Fuqua School of Business, United States |
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Exponential Individuals, Hyperbolic Households |
Andrew Hertzberg, Columbia University, United States |
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Macroeconomic Uncertainty, Difference in Beliefs, and Bond Risk Premia |
Paul Whelan, Imperial College London, United Kingdom Andrea Buraschi, The University of Chicago Booth School of Business, United States |
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Analysing the Difference between Forward and Futures Prices for the UK Commercial Property Market |
Silvia Stanescu, University of Kent, Kent Business School, United Kingdom Made Reina Candradewi, University of Kent, Kent Business School, United Kingdom Radu Tunaru, University of Kent, Kent Business School, United Kingdom |
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Equities' Exposure to Exchange Rates: Beyond the Loglinear Model |
Kris Boudt, Lessius University College, Antwerp and V.U. Amsterdam, Belgium Fang Liu, Central University of Finance and Economics, China Piet Sercu, FBE, KU Leuven, Belgium |
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Inhomogeneous network models for financial systems |
Ursula Walther, Frankfurt School of Finance and Management, Germany Huebsch Arnd, Frankfurt School of Finance and Management, Germany |
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Disclosure and Price Regulation in a Market with Shroudable Costs |
Jeremy Ko, U.S. Securities and Exchange Commission, United States Jared Williams, Penn State University, United States |
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Identifying Interdependency Among Monetary Policy, Exchange Rates, REITS and Stock Markets During the Period of Global Financial Crisis in OECD Countries |
Hakimzadi Wagan, University Paris 1 Sorbonne,France Irfan Kazi, University Paris 10, France Farhan Kazi, University Paris 1 Sorbonne |
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Market-wide Price Pressures, Excess Comovement, and a Transient Factor in Stock Returns |
Yuriy Kitsul, Federal Reserve Board, United States Reza Mahani, Georgia State University, United States |
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Information Acquisition in Rumor-Based Bank Runs |
Zhiguo He, University of Chicago, United States Asaf Manela, Washington University in St. Louis, United States |
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How to use demand systems to evaluate risky projects, with an application to the automobile industry |
Cristian Huse, Stockholm School of Economics, Sweden Richard Friberg, Stockholm School of Economics, Sweden |
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High-Frequency Jump Filtering in a Microstructure Model |
Eric Jondeau, University of Lausanne - Swiss Finance Institute, Switzerland Jerome Lahaye, Fordham University, United States Michael Rockinger, University of Lausanne - Swiss Finance Institute, Switzerland |
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Does Informal Finance Help Formal Finance? Evidence from Third Party Loan Guarantees |
Chenyu Shan, University of Hong Kong, Hong Kong Philip Dybvig, Washington University in St.Louis, United States Dragon Tang, University of Hong Kong, Hong Kong |
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Bond Covenants and the Defeasance of Control Rights |
Zsuzsanna Fluck, Michigan State University, United States |
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Cost of Corporate Fraud: An Empirical Study of Bank Loan Contracts |
Chen Lin, Chinese University of Hong Kong, Hong Kong Frank Song, University of Hong KonG, Hong Kong |
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Do Indian Acquirers Create Shareholder Value? The Effect of Business Group Affiliation |
Bipin Dixit, Indian Institute of Management, Bangalore, India |
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Long Run Real Exchange rates and nontradables: evidence for South Asian countries |
Aayesha Mian, City University Of Hong kong, Hong Kong Aayesha Noor Mian, City University Of Hong kong, Hong Kong |
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Trend-following and Momentum Strategies in Futures Markets |
Akindynos-Nikolaos Baltas, Imperial College Business School, United Kingdom Robert Kosowski, Imperial College Business School, United Kingdom |
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Informed Trading and Competition Structure:Driving Forces for Mutual Funds to Outperform the Market |
Wenjun Wang, Renmin University of China, China |
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Loan loss provisions |
Mohd Yaziz Mohd Isa, University Tun Razak, Malaysia |
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Macro Corporate Governance and Price Sensitivity of |
Donghui li, The University of New South Wales, Australia Zhian Chen, The University of New South Wales, Australia Steven Wei, The University of New South Wales, Australia Zhengyuan Wang, The University of New South Wales, Australia |
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Value, Growth, Size and Performance along Major Market Trends: Evidence from the U.S. Semiconductor Firms |
Anthony Yanxiang Gu, State University of New York, United States |
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Understanding the high profitability of Chinese Banks |
Horst Paul Loechel, China Europe International Business School, China Helena Xiang Li, Frankfurt School of Finance and Management, Germany |
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Business Expectations and the Value Premium |
Wai Mun Fong, National University of Singapore, Singapore |
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News Media Content and U.K. Stock Returns |
Jie Guo, Durham Business School, United Kingdom Nicky J. Ferguson, Judge Business School, Cambridge University, United Kingdom Herbert Y.T. Lam, School of Finance, Renmin University of China Dennis Philip, Durham Business School, United Kingdom |
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Financial Contagion in Europe: Systemic vs Idiosyncratic |
Brend a González-Hermosillo, International Monetary Found (IMF), United States |
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Trends in commodity real prices: How real is real? |
Viviana Fernandez, Universidad Adolfo Ibanez (UAI), Chile |
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The Survivability of Small British IPOs |
Shima Amini, Leeds University Business School, United Kingdom Kevin Keasey, Leeds University Business School, United Kingdom |
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The Evidence of Management Motivation to Revalue Property Plant and Equipment in Tunisia |
Azousi Mohamed Ali, University of Sfax, Tunisia |
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Thinking by Analogy and Option Prices |
Hammad Siddiqi, Lahore University of Management Sciences, Pakistan |
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Credit Card Risk Behavior on College Campuses |
Wesley Mendes-Da-Silva, Getulio Vargas Foundation, São Paulo, Brazil |
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Time-Varying Financial Spillovers from the US to Frontier Markets |
Galin Todorov, Florida International University, United State Prasad Bidarkota, Florida International University, United States |
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The value of investment research: do company site visits affect the trading patterns and performance of professional investors? |
Lorne Switzer, Concordia University, Canada |
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The Financial Crisis and the Behavior of Stock Prices |
Mo Chaudhury, McGill University, Canada |
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Strategies in liquid assets investment in polish nonprofit organizations |
Grzegorz Michalski, Wroclaw University of Economics, Poland |
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Global Wealth Accumulation and Trade Pattern in a Heterogeneous-Household and Multi-Country Monetary Model with National Inflation Policies |
Wei-bin zhang, Ritsukeikan Asia Pacific University,Japan |
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Does the Indian Capital Market follow Random Walk? |
Monika Aggarwal, Indian Institute of Planning and Management, Chandigarh, India Amit Baruah, Indian Institute of Planning and Management, Chandigarh, India |
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Dealer Intermediation between Markets |
Peter Dunne, Central Bank of Ireland, Ireland Michael Moore, Queen's University, Belfast, Uk |
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The Magnitude and Concept of the Equity Premium in 150 Textbooks |
Pablo Fernandez, IESE Business School, Spain |
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Simultaneous Hedging of Upgrading Costs and Optimal Public Policies with Many Orphan Diseases |
Patrick Leoni, Euromed Management, France |
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Fiscal policy and financial stability |
Olimjon Saidmamatov, Management Development Institute of Singapore at Tashkent, Uzbekistan |
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Debt Rating Initiations: Natural Evolution or Opportunistic Behavior? |
Laurence Booth, University of Toronto, Canada Sean Cleary, Queen's University, Canada Lynnette Purda, Queen's University, Canada |
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Does Futures Speculation Destabilize Spot Prices? New Evidence for Commodity Markets |
Patrick M. Stephan, Westphalian Wilhelminian University of Muenster, Germany Martin T. Bohl, Westphalian Wilhelminian University of Muenster, Germany |
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Tax havens or Safe havens |
Skerdilajda Zanaj, University of Luxembourg, Luxembourg Patrice Pieretti, University of Luxembourg, Luxembourg Jacques Thisse, Université Catholique de Louvain, Belgium |
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Expected inflation and inflation risk premium in the euro area and in the United States |
Marcello Pericoli, Banca d'Italia, Italy |
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Unintended Consequences of the Increased Asset Threshold for FDICIA Internal Controls: Evidence from US Private Banks |
Justin Jin, McMaster Universty, United States Kiridaran Kanagaretnam, McMaster Universty, Canada Gerald lobo, Univerity of Houston, United States |
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Financial Flexibility, Financing Option and Catering Strategy of Chinese Listed Firms |
Zhiqiang wang, Xiamen University, China Weiting Zhang, Xiamen University, China |
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Hedging Effectiveness of Stock Index Futures contract in the Indian Derivative Markets |
Anandadeep Mandal, Cranfield School of Management, Cranfield University, United Kingdom Sunil Poshakwale, Cranfield School of Management, Cranfield University, United Kingdom |
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Overreaction of Country ETFs to US Market Returns: Intraday vs. Daily Horizons and the Role of Synchronized Trading. |
Ariel Levy, Technion - Israel Institute of Technology, Israel Offer Lieberman, University of Haifa, Israel |
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Asymmetric Effects of the Financial Crisis: Sectoral Analysis of Firms' Investment Decisions |
Vadim Khramov, University of California at Los Angeles (UCLA), United States Megan Clifford, The RAND Corporation, United States |
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The impact of access to credit on rural households’ poverty in the Mekong Delta of Vietnam |
Duy Vuong Quoc, Ghent University, BelgiumName: Marijke D'Haese, Ghent University, Belgium Hau Le Long, Antwerp University, Belgium Luc D'Haese, University of Antwerp, Belgium |
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The value of private information in investment research: do company site visits affect the trading patterns and performance of professional investors? |
Lorne Switzer, Concordia University, Canada Mariane Keushgerian, Concordia University, Canada |
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Institutions and the Performance of Politically-Connected M&As |
Paul Brockman, Lehigh university, United States Oliver Rui, CEIBS, China Huan Zou, Chinese University of Hong Kong, Hong Kong |
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On the Performance of the Tick Test |
Marcelo Perlin, UFRGS - Escola de Administração, Brazil Chris Brooks, ICMA Centre - Reading University, UK Alfonso Dufour, ICMA Centre - Reading University, UK |
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The rise of a New Business Class |
Alexandre Araujo, Brazilian Support Services for Micro and Small Business, Brazil |
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China’s Banks Ownership and Performance 2003 - 2010 |
Kevin Daly, University of Western Sydney, Australia Xiaoxi Zhang, University of Western Sydney, Australia |
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Public private partenership and project finance: law and financing technique |
Tommaso Vito Russo, University of Salento, Italy |
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P-Rise (Probability of Rise) Calculated From Moving Averages |
Mohammad Junaid Khalid Iqbal, Arif Habib Investments, Pakistan |
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Time-Varying Risk and Risk Premiums in Frontier Markets |
Prasad Bidarkota, Florida International University, United States Galin Todorov, Florida International University, Unites States |
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Large Foreign Ownership and the Informativeness of Stock Prices |
Wen He, The University of New South Wales, Australia Donghui Li, The University of New South Wales Jianfeng Shen, The University of New South Wales, Australia Bohui Zhang, The University of New South Wales, Australia |
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Exploración de Alternativas de Financiamiento para PyMEs |
Miguel Angel Siebens, Universidad Abierta Interamericana, Argentina Claudio Pietrantueno, Universidad Abierta Interamericana, Argentina |
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Relationship banking and firms investment in transition economiesthe case of vietnam |
Thai Huu Hong Pham, University of Birmingham, United Kingdom |
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Is Real Estate a Good Way to Diversify in Times of Financial Crisis? |
Stephane Dubreuille, Reims Management School, France Stephane Fourneaux, Reims Management School, France Sebastien lleo, Reims Management School, France |
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Impact of the global financial flows on the financial currency markets (Impact of flows on the different currency pairs exchange rates) |
Himanshu Nigam, Indian Institute of Management (IIM), Ahmedabad, India |
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Product Market Interactions and the Propensity to Restructure in Bankruptcy |
Nina Baranchuk, University of Texas at Dallas, United States Michael Rebello, University of Texas at Dallas, United States |
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Value measurement on the non-profit organizations (NPO) action |
Eduardo Pace, Universidade São Paulo, Brazil Almir Ferreira de Sousa, Universidade de São Paulo, Brazil |
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Application of Markowitz Model in Analyzing Risk and Return : A Case Study of BSE Stock |
Manas Pandey, VBS Purvanchal University, Jaunpur (UP), India |
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Differential Impact of Taiwan Financial Reforms on the Performance of Undiversified Financial Firms |
Chien-Ting Lin, Deakin University, Australia Meng-Chun Kao, YuanPei University of Science and Technology, Taiwan |
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Fiscal Stimulus, Agricultural Growth and Poverty in Asia |
Raghav Gaiha, University of Delhi, India Ganesh Thapa, IFAD, Rome, Italy |
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Estimating Asset Correlations among European Firms using Credit Default Swaps plus Stocks |
Hans Byström, Lund University, Sweden |
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Career concerns and the busy life of the young CEO |
Xiaoyang Li, Cheung Kong Graduate School of Business, China Angie Low, Nanyang Technological University, Singapore Anil Makhija, Ohio State University, United States |
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Pedagogy of Knowing, Doing and Being for Management Accounting at MBA |
NKeyur Thaker, Indian Institute of Management Indore, India |
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Effective Governance in Institutional Investments - Reallocations and Tournament Behavior in German Multi-Manager Accounts |
Timur Karabiber, WHU - Otto Beisheim School of Management, Germany Maximilian Trossbach, WHU - Otto Beisheim School of Management, Germany Denis Schweizer, WHU - Otto Beisheim School of Management, Germany Lutz Johanning, WHU - Otto Beisheim School of Management, Germany |
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FINANCIAL DEPENDENCE AND ECONOMIC GROWTH IN SPAIN |
Manuel Angel Fernandez Gamez, University of Málaga, Spain Matilde Rios Benítez, University of Málaga, Spain Prosper Lamothe Fernandez, Universidad Autónoma Madrid, Spain |
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Market Liquidity, Private Information, and the Cost of Capital of Family Businesses in Japan |
Takashi Ebihara, Musashi University, Japan Keiichi Kubota, Chuo University, Japan Hitoshi Takehara, Waseda University, Japan Eri Yokota, Keio University, Japan |
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Role of Foreign Direct Investment In Trade and Commerce |
Sanjay Baijal, Deen Dayal Upadhyay Gorakhpur University, India Rajeev Prabhakar Deen Dayal Upadhyay Gorakhpur University, India |
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Bail-in Capital: The New Box |
Manu Krishnan,Spectrum Asset Management Inc Phil Jacoby, Spectrum Asset Management Inc |
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Director Characteristics and Firm Performance |
Christophe Volonte, University of Basel Pascal Gantenbein, University of Basel: Switzerland |
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The Determinants of Home Bias Puzzle in Equity Portfolio Investment in Australia |
Kevin Daly, University of Western Sydney Vo Vinh, University of Western Sydney, Australia |
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Overconfidence and the Rational Expectations Model of the Term Structure of Interest Rates |
George Bulkley, University of Bristol, United Kingdom Richard Harris, University of Exeter, United Kingdom |
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Do Fund Managers Herd Intentionally? Evidence from Bulgaria |
Constantinos Gavriilidis, Durham Business School Vasileios Kallinterakis, University of Liverpool Management School, United Kingdom Nikolay Yordanov, Ernst&Young Audit OOD, Bulgaria |
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The Association between Gender-diverse Compensation Committees, CEO Compensation and Firm Performance |
Zoltan Matolcsy, University of Technology Sydney, Australia Helen Spiropoulos, University of Technology Sydney |
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The Microstructure of Australian Takeover Announcements |
Martin Bugeja, University of Technology, Sydney, Australia Terry Walter, University of Technology, Sydney |
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How Smooth Is Price Discovery? Evidence from Cross-listed Stock Trading |
Paul Moon Sub Choi, Ewha School of Business Haiqiang Chen, Xiamen University, China |
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Corporate Transparency and Innovation Accounting of New Product Impact |
Paul Moon Sub Choi, Ewha School of Business, Republic Of Korea Jongkuk Lee, Ewha School of Business, , Republic of Korea Junhee Kim, University of North Carolina at Chapel Hill |
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Taxation and Labor Force Participation: The Case of Italy |
Stefania Marcassa, Université de Cergy-Pontoise, Fabrizio Colonna, Bank of Italy, Italy |
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Short-term and long-term dependencies of the s&p 500 index and commodity prices: a wavelet analysis |
Michael Graham, Stockholm University, Sweden Jarno Kiviaho, University of Vaasa, Finland Jussi Nikkinen, University of Vaasa, Finland |
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Target Price Accuracy: International Evidence |
Pawel Bilinski, Lancaster University Management School Danielle Lyssimachou, Manchester Business School Martin Walker, Manchester Business School |
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The Role of Technological Synergy in Mergers and Acquisitions |
James Ang, Florida State University, United States Chaopeng Wu, Xiamen University, China |
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Systematic, default and systemic risk effects of international bank mergers - Empirical evidence |
Gregor Weiß, Technische Universit¨ at Dortmund, Germany Sascha Neumann, Ruhr-Universität Bochum, Germany Denefa Bostandzic, Ruhr-Universität Bochum, Germany |
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Neuroeconomic modeling of global systemic risk |
Armando F Rocha, RANI - Research on Artificial and Natural Intelligence, Brazil |
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Managed Distribution Policies in Closed-End Funds and Shareholder Activism |
Martin Cherkes, Columbia University, United States |
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Trading Costs on the Stock Exchange of Thailand |
Nattawut Jenwittayaroje, Chulalongkorn University Charlie Charoenwong, Nanyang Technological University,Singapore David Ding, Massey University, New Zealand |
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The Packaging of Small Trades: Evidence of Price Impact Costs on Block Trading from the Singapore Exchange |
Murphy Lee, University of Technology, Sydney, Australia David Michayluk, University of Technology, Sydney |
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IPO PRICING: “WHO DOES IPO GRADING HELP” |
K.V. Bhanumurthy, Delhi School of Economics,University of Delhi, India Amit Singh, Shaheed Bhagat Singh College, University of Delhi, India |
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Political Environment & Financial Markets |
Soumitra Mallick,mIndian Institute of Social Welfare & Business Management, India |
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THE RESTORATION OF FISCAL STABILITY |
Panagiotis Evangelopoulos, University of Peloponnese |
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The Impacts of Foreign Listings and Delistings: An Empirical Analysis |
Christopher Ngassam, Grambling State University |
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The Impact of Investability on Asset Valuation |
Vihang Errunza, McGill University, Canada |
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The Impact of Auditors’ and Analysts’ Bad News on Bank Performance during the 2008 Financial Crisis |
Inga Chira, Florida Atlantic University, United States |
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Are Changes in Foreign Exchange Reserves a Good Proxy for Official Intervention? |
Sandy Suardi, La Trobe University, Australia Yuanchen Chang, National Chengchi University, Taiwan |
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Oil Price and the Saudi Stocks |
Mohan Nandha, Monash University, Australia Sunil Mohanty, University of St. Thomas, United States Abdulrahman Alshehri, King Khalid University, Saudi Arabia |
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Investment Lumpiness and the Role of Net Worth: Evidence from Europe |
Walid Mansour, University of Kansas, United States |
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Multiple risky securities valuation. |
Ilya Gikhman, Independet Researcher, United States |
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Information Disclosure, Bank Performance and Bank Stability |
Perihan Iren, Zayed University, United Arab Emirates Alan Reichert, Cleveland State University, United States Dieter Gramlich, Baden-Württemberg Cooperative State University, Germany |
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Do Hedge Funds Supply or Demand Immediacy |
Petri Jylhä, Aalto University (Helsinki School of Economics), Finland Kalle Rinne, Aalto University (Helsinki School of Economics), Finland Matti Suominen,Aalto University (Helsinki School of Economics),Finland |
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Effect of Cultural Dimensions on Stock Exchange Investment Decision in Iran |
Zahra Amirhosseini, Islamic Azad University,Tehran, Iran Vivian Okere, Providence College, Rhode Island,United States Saleh Kaviyani, Islamic Azad University, Tehran Central Branch, Iran |
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Pyramidal Structure, Performance Fluctuation and Bank Loan:Evidence from China |
Xiaorong Li, Renmin University, China Yangwen Wang, The Chinese University of Hong Kong, China Ruijun Zhang, Renmin University, China |
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Stock Market Analysis in Practice: Is It Technical or Fundamental? |
Gil cohen, Carmel Academic Center, Israel |
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Do Implicit Barriers Matter for Globalization? |
Ines Chaieb, University of Geneva, Switzerland Francesca Carrieri, McGill University, Canada |
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Estimation of joint credit losses based on Poisson processes and a suggestion for Basel Accords |
Fernando Moreira, Keele University, United Kingdom |
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FIRM HETEROGENEITY AND CALENDAR ANOMALIES |
Susan Sharma, Deakin University, Australia Paresh Narayan, Deakin University, Australia |
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On the effectiveness of outside directors: Evidence from China |
Hui (Michael) Li, La Trobe University Australia, Australia Xiaohui Wu, Xiamen University, China |
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Receivable Management System for Landline Segment of Telecom Company |
Arshia Mukhtar, International Islamic University, Islamabad, Pakistan |
|
Investment and Environmental Regulation: Evidence on the Role of Cash Flow |
Julio Riutort, Pontificia Universidad Católica de Chile, Chile Evangelina Dardati, Universidad de Chile, Chile |
|
Market Segmentation and Decoupling in the Financial Markets: The Case of Two-Stage Stock-Financed Mergers |
James Ang, Florida State University, United States Gonul Colak, Florida State University, United States Tai-Wei Zhang, Ming Chuan University,Taiwan |
|
Asymmetric Effects of the Financial Crisis: Collateral-Based Investment-Cash Flow Sensitivity Analysis |
Vadim Khramov, International Monetary Fund, United States Megan Clifford, Rand Corporation, United States |
|
Hedging and the failures of Corporate Governance: Lessons from the Financial Crisis |
Rodrigo Zeidan, Fundação Dom Cabral, Brazil |
|
Instruments for Islamic issuers, new vision |
Aly Khorshid, Academy UK, United Kingdom |
|
Predictability: the wrong way |
Andrea Carnelli, Imperial College Business School, United Kingdom Andrea Buraschi, Chicago Booth School of Business, United States |
|
Contingent Capital: The Case for COERCs |
George Pennacchi, University of Illinois at Urbana-Champaign, United State Theo Vermaelen, INSEAD, France Christian Wolff, Univerity of Luxembourg, Luxembourg |
|
Using Historical Financial Statements to Separate Winning from Losing Value Stocks in Canada: Interlisted Vs. Non-Interlisted Stocks |
George Athanassakos, The University of Western Ontario, Canada |
|
Do Accruals Drive the Vaue Premium? A Variance Decomposition Analysis |
Andres Reibel, Imperial College Business School |
|
Real Estate Wanted: Dead or Alive |
C. Sherman Cheung, McMaster University, Canada Peter Miu, McMaster University, Canada |
|
Fund Convexity and Tail Risk-Taking |
Jerchern Lin, University of Southern California, United States |
|
Role of social Accounting in organizations |
Hamid Saremi, islamic azad university of iraquchan branch, Iran |
|
Stocks, Bonds, T-Bills and Inflation Hedging |
Zaghum Umar, University of Groningen, Netherlands Laura Spierdijk, University fo Groningen, Netherlands |
|
Procedures for the Determination of Intangible Assets |
Almir Ferreira de Sousa, Universidade de São Paulo – USP, Brazil Claudio Antonio Rojo, Universidade Estadual do Oeste do Paraná – UNIOESTE, Brazil Osni Hoss, Universidade Tecnológica Federal do Paraná – UTFPR, Brazil |
|
Determinants of mutual fund purchasing – moderating effects and nonlinearity within an attitude-behaviour based approach |
Nicolas Schmidt, Otto Beisheim School of Management, Germany Holger Brandt, Goethe Universität Frankfurt am Main |
|
Optimal Hedging Strategy for Risk Management on a Network |
Aparna Gupta, Rensselaer Polytechnic Institute, Tianjiao Gao, Rensselaer Polytechnic Institute, United States Nalan Gulpinar, Warwick Business School, United Kingdom |
|
SHAREHOLDER ACTIVISM AND INTERNATIONALIZATION IN THE FAMILY FIRM |
Alfredo M. Bobillo, University of Valladolid, Spain Juan Antonio Rodriguez-Sanz, University of Valladolid, Spain Fernando Tejerina-Gaite, University of Valladolid, Spain |
|
The informal venture capital market in Italy: in search for the determinants of business angels’ IRR |
Vincenzo Capizzi, SDA Bocconi, Italy Giovanni Tirino, SDA Bocconi, Italy |
|
Factors influencing managerial performance evaluation system: evidence from telecommunication industry (usa) |
Tatiana Garanina, Graduate School of Management, St. Petersburg University, Russian Federation Yulia Ladyzhenko, Graduate School of Management, St. Petersburg University, Russian Federation |
|
Measuring Efficiency Using A Composite Non Standard Profit Function Approach: The Case of U.S. Commercial Banks |
Diego a restrepo-tobon, Binghamton University (U.S.) and EAFIT University (Colombia) Subal kumbhakar, Binghamton University, United States |
|
Multinational Banking and Financial Contagion: Evidence from Foreign Bank Subsidiaries |
Bang Nam Jeon, LeBow College of Business - Drexel University, United States Maria Pia Olivero, LeBow College of Business - Drexel University, United States Ji Wu, Penn State University, United States |
|
IT Innovations in the Indian Banking Sector –A multivariate analysis of the transformed IT products |
Samiksha Ojha, International Management Institute, India Deepak Tandon, Lal Bahadur shastri Institute of management, India |
|
An examination of herding behavior in REITs |
Nikolaos Philippas, University of Piraeus, Greece Alexandros Kostakis, University of Liverpool, management school, United Kingdom Vassilios Babalos, University of Piraeus, Greece |
|
Specification errors of asset pricing models for a market |
Nader Shahzad Virk, Hanken School of Economics, Finland |
|
High Short Interest Effect and Aggregate Volatility Risk |
Alexander Barinov, University of Georgia, United States |
|
How Does the Domiciliation Decision Affect Mutual Fund Fees? |
Gunnar Lang, Centre for European Economic Research, Germany |
|
Comparison of Efficiency Characteristics between the banking sectors of US and UK during the Global Financial Crisis of 2007-2011 |
Taufiq Choudhry, University of Southampton, United Kingdom Ranadeva Jayasekera, University of Southampton, United Kingdom |
|
Board Independence, Ownership Concentration and Corporate Performance |
Ke Li, Shanghai Stock Exchang, China Lei Lu, Peking Univeristy, China Usha Mittoo, University of Manitoba, Canada Zhou Zhang, University of Regina, Canada |
|
Institutional Investors and the Transformation of Underperforming Firms |
Grigori Erenburg, University of Western Ontario, Canada Janet Smith, Claremont McKenna College, United States, Richard Smith, University of California, Riverside, United States |
|
Bank Capital Buffer and Liquidity: Evidence from US and European publicly traded banks |
Amine Tarazi, Université de Limoges, LAPE, France Isabelle DISTINGUIN, Université de Limpges, LAPE, France Caroline Roulet, JPLC Finance, France |
|
An interpretation of basel III: experience of a growing banking sector during financial crisis |
Muge Karacal, Izmir University of Economics, Turkey Emre Can, Turkish Derivatives Exchange, Turkey Ilker Arslan, Turkiye Is Bankasi, Turkey |
|
Reestablishing Stability and Avoiding a Credit Crunch: Comparing Different Bad Bank Schemes |
Thomas Vieten, Heinrich Heine University, Germany Achim Hauck, Heinrich Heine University, Germany Ulrike Neyer, Heinrich Heine University, Germany |
|
Pyramidal Ownership Structures in Companies and Corporate Governance in Brazil: the role of Novo Mercado |
Dante Mendes Aldrighi, University of São Paulo, Brazil Maria Dolores Montoya Diaz, University of São Paulo, Brazil Fernando Antonio Slaibe Postali, University of São Paulo, Brazil |
|
"White Men Can't Jump," But Would You Bet On It? |
Deniz Igan, International Monetary Fund, United States Marcelo Pinheiro, International Monetary Fund, United S John Smith, International Monetary Fund, United States |
|
FUNDAMENTAL FACTORS AND MVA – A STUDY OF RELATIONSHIP BETWEEN THEM |
B.S. BATHI, RIMT-Institute of Management & Computer Technology, India Tania Mengii, RIMT- Institute of Management & Computer Technology, India |
|
Banks’ responses to funding liquidity shocks:Lending adjustment, liquidity hoarding and fire sales |
Leo de Haan, De Nederlandsche Bank Netherlands Jan Willem van den EnD, De Nederlandsche Bank, Netherlands |
|
Shipping Markets and Freight Rates: An Analysis of the Baltic Dry Index |
Helyette Geman, Birkbeck, University of London & ESCP Europe, United Kingdom William Smith Birkbeck, University of London, United Kingdom |
|
The Hidden Message of Managers’ Language Use in Earnings Press Releases and its Impact on Investment Decisions |
Tracey Riley, Suffolk University,United States Ariel Markelevich, Suffolk University, nited States Ray Pfeiffer, Texas Christian University, United States |
|
CEO Entrenchment and Corporate Risk Management |
Praveen Kumar, University of Houston, United States Ramon Rabinovitch, University of Houston, United State |
|
Inattentiveness: an alternative explanation of investment gulps |
Fabio Verona, Goethe University Frankfurt, Germany |
|
Safer Ratios, Riskier Portfolios: Banks’ Response to Government Aid |
Denis Sosyura, University of Michigan, United States Ran Duchin, University of Michigan, United States |
|
An Empirical Analysis of Cost Efficiencies in the Indian Banking Industry |
D.K. Malhotra, Philadelphia University, United States Raymond Poteau, Philadelphia University, United States |
|
CEO Inside Debt, Risk Taking, Earnings Management, and Financial Trouble: Pre-crisis and Crisis Period Evidence from the Banking Industry |
Kiridaran Kanagaretnam, McMaster University, Canada Gerald Lobo, University of Houston, United States Ziyun (Calvin) Yang, University of Houston, United States |
|
Investor Sentiment and the Fragility of Liquidity |
Chunmei Lin, National University of Singapore, Singapore |
|
The miracle of “pocket multinationals”: The value creation of cross-border M&As and joint ventures made by European medium-sized listed firms |
Ottorino Morresi, University of Roma Tre, Italy |
|
Revisiting the Stealth Trading Hypothesis |
Roberto Pascual, University of the Balearic Islands, Spain David Abad, University of Alicante, Spain |
|
Seven Asian Emerging Equity Markets:Are They Integrated? |
Mukesh Chaudhry, Indiana University of Pennsylvania, Walayat Khan, University of Evansville, United States Robert J. Boldin, Indiana University of Pennsylvania, United States |
|
Short-term Persistence in Emerging Market Closed-End Funds Performance |
Emilio Cardona, Universidad de Los Andes, Colombia |
|
Depository Services in India: A Comparative View to NSDL and CDSL |
Alok Kumar Chakrawal, Saurashtra University,India Nilambari r. Dave, Saurashtra University, India M. K. Padalia, Saurashtra University, India Harish s. Oza, Gujarat University, India Amal Kumar, Bhavnagar University, India |
|
Existence of Equilibria in Incomplete Markets with Non-Ordered Preferences |
Erkan Yalcin, University of New England, Australia Duygu Yengin, The University of Adelaide, Australia |
|
An Analysis of Option-Implied Volatility Surrounding Stock Split Announcements |
Philip Gharghori, Monash University, Australia Edwin Maberly, Monash University, Australia Annette Nguyen, Deakin University, Australia |
|
Unstable Relationship between the Fed’s Monetary Policy Actions and the U.S. Stock Market |
Anthony Yanxiang Gu, State University of New York |
|
Measuring Systemic Risk in the Colombian Financial System: A Systemic Contingent Claims Approach |
Miguel Morales, Central Bank of Colombia (Banco de la Republica),Colombia Esteban Gomez, Central Bank of Colombia, Colombia Laura Capera, Central Bank of Colombia, Colombia Mariana Laverde, Central Bank of Colombia, Colombia |
|
Microfinance Profitability: Does financing choice matter? |
Peter Muriu, university of Birmingham, United Kingdom |
|
Globalization and the Environmental Spillovers of sectoral FDI |
Nadia Doytch, University of New Haven, United States Merih Uctum, CUNY Graduate Center and Brooklyn College, United States |
|
Managerial Entrenchment Hypothesis and Dividend Payout Policy |
Raheel Gohar, National University of Sciences and Technology (NUST),Islamabad, Pakistan Ayesha Lone, National University of Sciences and Technology (NUST), Islamabad, Pakistan |
|
The First 1,000 Days in the Life of an IPO |
Mario Levis, Cass Business School, City University, United Kingdom Anna Faelten, Cass Business School, City University Naaguesh Appadu, Cass Business School, City University, United Kingdom |
|
Issuer-heterogeneity and time-heterogeneity in the rating migration dynamics of financial institutions |
Huong Dang, University of Canterbury, New Zealand |
|
Sorting Stocks, Volatility Bounds, and Real Activity Prediction |
Belen Nieto, Universidad de Alicante, Spain Gonzalo Rubio, Universidad CEU Cardenal Herrera, Spain |
|
Monetary policy regimes and the forward bias for foreign exchange |
Juan Angel Lafuente, Universitat Jaume I, Spain Rafaela Pérez, Universidad Complutense, Spain Jesús Ruiz, Universidad Complutense, Spain |
|
Link Between Corporate Governance Rating And Performance Indicators: An Empirical Study Of S&P CNX Nifty Companies |
Jai Prakash Sharma, Delhi School of Economics, University of Delhi, India Manisha Verma, Hans Raj College, Delhi University, Delhi, India |
|
Real Pension Rights as a Control Mechanism for Pension Fund Solvency |
Jacob Bikker, De Nederlandsche Bank, Netherlands Thijs Knaap, University of Amsterdam, Netherlands Ward Romp, University of Amsterdam, Netherlands |
|
COMPUTATIONAL COMPLEXITY AND INFORMATION ASYMMETRY IN FINANCIAL PRODUCT |
Ayere Osagie, Standard Investment Company, Nigeria Sanjeer Arora, University of Princeton, United States Boaz Barak, University of Princeton, United States Markus Brunner, University of Princeton, United States |
|
Savior or Sinner? Credit Default Swaps and the Market for Sovereign Debt |
Iuliana Ismailescu, Pace University, United States Blake Phillips, University of Waterloo, Canada |
|
The Fear Premium and Daily Comovements of the S&P 500 E/P ratio and Treasury Yields before and during the 2007 Financial Crisis |
Christophe Faugère, BEM Management School, Bordeaux, France |
|
Who Writes the News? Corporate Press Releases during Merger Negotiations |
Denis Sosyura, University of Michigan, United States |
|
The compensation program for executive managers and the capital structure of American banks: an empiric study on the actual systemic crisis |
Michele Jucá, Universidade de São Paulo, Brazil Almir Sousa, Universidade de São Paulo, Brazil Albert Fishlow, Columbia University, United States |
|
Short Selling Bans, Banking Share Price Dynamics- Tick by Tick Empirical Evidence from Asian Stock Markets |
Malick SY, RMIT University, Australia Xiao Wang, RMIT University, Australia Hallahan Terry, RMIT University, Australia Tony Naughton, RMITUniversity, Australia |
|
Participatory Budgeting: Involving Citizens in Local Government Finance |
Peter Demediuk, Victoria University, Australia Rolf Solli, Gothenburg University, Sweden Petra Adolfsson, Gothenburg University, Sweden |
|
Remittances, Growth and Poverty: New Evidence from Asian Countries |
Katsushi Imai, School of Social Sciences, University of Manchester, United Kingdom Raghav Gaiha, Faculty of Management Studies, Delhi University, India Abdilahi Ali, School of Social Sciences, University of Manchester, United Kingdom Nidhi Kaicker, Faculty of Management Studies, Delhi University, India |
|
Exchange Rate Targeting versus Inflation Targeting: Empirical Analysis for Emerging Economies (BRICSA countries) and for Serbia |
Novak Kondić, University of Banjoj Luci, Economics Faculty, Bosnia And Herzegovina Borivoje Krušković, University of Banjoj Luci, Economics Faculty, Bosnia And Herzegovina |
|
Forecasting Stock Market Volatility Using Garch Model-a Case Study of NSE |
Gurcharan Singh, School of Management Studies, Punjabi University, India Manas Pandey, V B S Purvanchal University, India Salony Kansal, Patiala School of Management Studies, Punjabi, India |
|
Performance-based fees and asset allocation under loss-aversion |
Constantin Mellios, University of Paris 1 Panthéon-Sorbonne, France |
|
Global Financial Crisis and Restructuring of Global Economy – Evidence from Global FDI Inflows, Outflows and Netflows |
Navitha Thimmaiah, University of Mysore, India |
|
Market reaction to resource and reserve disclosures by development stage mining companies |
Gabriel Pereira Pundrich, University of Technology, Sydney – UTS, Australia Andrew Ferguson, University of Technology, Sydney – UTS, Australia Robert Czernkowski, University of Technology, Sydney – UTS, Australia |
|
An empirical analysis of default on agriculture-related loans: Evidence from China |
Zhichao Yin, School of Finance, Southwestern University of Finance and Economics, China Lei Meng, Department of Finance, School of Business, East China University of Science and Technology, China |
|
India: the Next Forex Derivatives Destination? |
Abhijeet Gaikwad, JBIMS, Mumbai University, India |
|
What Causes the Concentration Discount? Evidence from Brazilian Stock Markets |
Rogerio Mazali, Tulane University, United States |
|
Why do mutual fund expenses matter? |
David Nanigian, The American College, United States |
|
Risk Attitudes toward PPP Finance |
Demi Chung, School of Accounting, Australian School of Business, University of New South Wales, Australia |
|
Is Corporate Governance Relevant during the Financial Crisis? |
Kartick Gupta, Auckland University of Technology, New Zealand Chandrasekhar Krishnamurti, University of Southern Queensland, Australia Alireza Tourani-Rad, Auckland University of Technology, New Zealand |
|
Relationship Between Stock Market and Foreign Exchange Market in India |
Gunjan Kohli, University of Delhi, India |
|
Market risk in agricultural commodity markets: a wavelet-based copula modeling approach |
Riadh Aloui, LAREQUAD & FSEGT, University of Tunis El Manar, Tunisia Mohamed Safouane Ben Aïssa, LAREQUAD & FSEGT, University of Tunis El Manar, Tunisia Duc Khuong Nguyen, ISC Paris School of Management, |
|
Testing Momentum and Contrarian Strategies in the Malaysian Stock Exchange |
Zamri Ahmad, Universiti Sains Malaysia, Malaysia |
|
Performance shares: Valuation, optimal design, and empirical evidence |
Daniel Kim, Indiana University, United States |
|
Financial openness, disclosure and bank risk-taking in MENA countries |
Arnaud Bourgain, University of Luxembourg, Luxembourg Patrice Pieretti, University of Luxembourg, Luxembourg Skerdilajda Zanaj, University of Luxembourg, Luxembourg |
|
Strategic Loan Defaults and Coordination: An Experimental Analysis |
Razvan Vlahu, De Nederlandsche Bank, Netherlands Stefan Trautmann, Tilburg University, Netherlands |
|
How Empowered is Microfinance in Empowering Women? Evidence from India |
Gagan Bihari Sahu, Centre for Social Studies, Surat, India |
|
Evaluating Discrete Dynamic Strategies in Affine Models |
Flavio Angelini, University of Perugia, Italy Stefano Herzel, University of Roma Tor Vergata, Italy |
|
Are commodity markets characterized by herd behavior? |
Ole Gjolberg, Norwegian University of Life Sciences Marie Steen, Norwegian University of Life Sciences, Norway |
|
Affiliates' external financing policy: Does parent firm nationality matter? |
Rosy Locorotondo, K.U.Leuven and Research Foundation Flanders, Belgium Nico Dewaelheyns, K.U.Leuven and Lessius University College, Belgium Cynthia Van Hulle, K.U.Leuven, Belgium |
|
Does Active Management Pay? New International Evidence |
Alexander Dyck, University of Toronto, CanadaKarl Lins, University of Utah, United States Lukasz Pomorski, University of Toronto, Canada |
|
Optimal Liquidation of Trading Strategy in Limit Order Books for Financial Institutions |
Edward Sun, BEM Management School Bordeaux, France Timm Kruse, Karlsruhe Institute of Technology (KIT), Germany |
|
Cash Hoards and Managerial Overconfidence |
Shih-Yun Huang, Aston University, United Kingdom Neophytos Lambertides, Cyprus University of Technology, Cyprus James M. Steeley, Aston University, United Kingdom |
|
Foreign Aid and Public Sector in Costa Rica |
Mariola Gozalo-Delgado, University of Burgos, Spain Fernando Rueda-Junquera, University of Burgos, Spain |
|
Interest Rate Derivatives and Determinants of Bank Performance in India: A Comparative study of Public and Private Banks |
Madhu Vij, Faculty of Management Studies, University of Delhi, India |
|
Contingent-Claim-Based Expected Stock Returns |
Zhiyao Chen, ICMA Centre, University of Reading |
|
World Events and Oil Futures Prices and Volatility |
Taufiq Choudhry, University of Southampton, United Kingdom Sharon Lin, City University, United Kingdom |
|
Signaling via Stock Splits: Evidence From Short Interest |
M. Fabricio Perez, Wilfrid Laurier University, Canada Andriy shkilko, Wilfrid Laurier University, Canada Tony Tang Wilfrid Laurier University, Canada |
|
Does Cross-listing Improve Corporate Governance? Evidence from International Acquisitions |
Fan He, University of Connecticut, United States Chinmoy Ghosh, University of Connecticut, United States |
|
International Financial Transmission of the US Monetary Policy: An Empirical Assessment |
Nikola Mirkov, University St.Gallen, Switzerland |
|
Social Security's Investment Shortfall: $8 trillion Plus - and the Way Forward |
Nils Hakansson, University of California, Berkeley, United States |
|
Patience and impatience of stock traders |
Peter Lerner, Rollins College, United States |
|
Global, Regional and Country Speci…c Risk in Currency Returns |
Jairo Rendon, Universidad de los Andes, Colombia |
|
Economic Links and Counterparty Risk |
Ramo Gencay, Simon Fraser University, Canada |
|
Information Asymmetry and the Timing of Capital Issuance: An International Examination |
April M. Knill, Florida State University, United States Bong Soo Lee, Florida State University, United States |
|
Corporate Governance Rules as Policy Instruments for Economic Growth: Soft or Hard Law? Regulation or Self-Regulation? |
Olusegun Gabriel Adegbite, Glasgow Caledonian University, Glasgow School for Business and Society,United Kingdom |
|
Tax Reforms in India Vis-à-Vis Implementaiton of Direct Tax Code |
Dr.a.Jayakumar aghoramoorthy, Periyar University, |
|
The relationship between stock return and economic value added (eva): a review of kse-100 index |
Muhammad Asad Khan, IMSciences Peshawar, Pakistan Naveed Hussain Shah, IMSciences Peshawar, Pakistan Atta ur Rahman, IMSciences Peshawar, Pakistan |
|
Identification and Survey of the Effective Factors on Promptness Release of Financial Reports of Listed Companies on Iran,s Tehran Stock Exchange.(The Case Study of Food and Beverage Industries) |
Parviz Mohammadzadeh, Faculty of Economics, University of Tabriz, Iran Elnaz Naderali, Alghadir Nongovernmental and Nonprofit Institution of Higher Education, Tabriz, Iran |
|
Micro finance in emerging economies: A micro-level study in India |
G. MohiudDin Dar Sangmi, University of Kashmir Srinagar, India S Javed Iqbal Kamili, Gandhi Memorial College Srinagar, India |
|
Contingent Claims Valuation and Calibration with Parameter Uncertainty for Low Frequency Data |
Radu Tunaru, University of Kent, United Kingdom |
|
Limitation of Accounts Receivable Turnover |
Huixin Huang, Peking University, China Jue Lin, University of Nottingham, United Kingdom |
|
Long memory in Indian exchange rates: An application of power-law scaling analysis |
Dilip Kumar, Institute for Financial Management and Research, India Srinivasan Maheswaran, Institute for Financial Management and Research, India |
|
Financial Flexibility and the Theory of Capital Structure |
Ranadeva Jayasekera, University of Southampton, United Kingdom |
|
Derivatives Pricing under a New Macro-financial Square-root Process for the Term Structure of Interest Rates |
Federico Platania, Universidad Complutense de Madrid, Spain Manuel Moreno, Universidad de Castilla la Manch, Spain |
|
The Sustainable Development of Micro-credit Companies in China:Current Status, Existing Problems and its Countermeasures |
Zhengping Zhang, Department of Finance, School of Economics, Beijing Technology and Business University, China |
|
Wind Energy in Brazil: an Option-Games Analysis |
Marta Corrêa Dalbem, Unigranrio, Brazil Leonardo Lima Gomes, PUC-Rio, Brazil Luiz Eduardo Teixeira Brandão, PUC-Rio, Brazil Carlos de Lamare Bastian-Pinto, Unigranrio, Brazil |
|
Development of Bond Market in Namibia |
Kashiram Sharma, University of Namibia, Namibia |
|
Does Information Asymmetry matter in emerging markets?. Evidence from six Latin American stock markets. |
Diego A. Agudelo, Universidad EAFIT, Colômbia Santiago Giraldo, Universidad EAFIT, Colombia Edwin Villarraga, Universidad EAFIT, Colombia |
|
The influence of political factors on commercial banks in Central European countries |
Krzysztof Jackowicz, Kozminski University, Poland Oskar Kowalewski, Warsaw School of Economics Łukasz Kozłowski, BGŻ SA, Poland |
|
Internal Governance Mechanisms and Pension Fund Performance |
Oskar Kowalewski, Warsaw School of Economics (SGH), Poland Krzysztof Jackowicz, Kozminski University,Poland |
|
Firm-level determinants and impacts of finance-seeking behaviour and outcomes for small and medium-sized enterprises |
Dong Xiang, Griffith University, Australia Andrew Worthington, Griffith University, Australia Helen Higgs, Griffith University, Australia |
|
Estimation of Beta-Pricing Models |
Alex Horenstein, ITAM School of Business, Mexico Seung Ahn, Arizona State University, United States |
|
Volatility and the Probability of Informed Trading in the Spanish Stock Market |
Natividad Blasco, University of Zaragoza, Spain Pilar Corredor, Public University of Navarre, Spain Santiago Hernandez, University of Zaragoza, Spain |
|
Stock market liquidity and short-termism driven CEO turnover |
Y.Han (Andy) Kim, Nanyang Business School, NTU, Singapore Min Jung Kang, Michigan State University, United States |
|
RELATIONSHIP BETWEEN RETURN FRACTALITY AND BIPOWER VARIATION: A COMMENT |
Thomas Rhee, California State University, Long Beach, United States |
|
Three Perspective Determinants of Mortgage Yield Spreads |
Benjamin Liu, Griffith University, Australia Eduardo Roca, Griffith University, Australia |
|
Impact of Behavioural Finance in Investment Decisions and Strategies – A Fresh Approach |
Amar Kumar Chaudhary, Vinoba Bhave University, Hazaribag, India Ravinder Bhagat, Vinoba Bhave University, Hazaribag, India |
|
Exchange Rates and Oil Prices: A Multivariate Stochastic Volatility Analysis |
Minh Vo, Deakin University, Australia Liang Ding, Macalester College, United States |
|
ASSET-BACKED VS. COMPETENCE-DRIVEN LEVERAGE: THE NEXT ENTREPRENEURAL FINANCE CHALLENGE. |
Guido Max Mantovani, Ca' Foscari University of Venice, Italy Teofilo Intato Foundation, Progetto 0-9 Research Centre, Italy |
|
On the Economics of Hedge Fund Drawdown Status: Performance, Insurance Selling and Darwinian Selection |
Sevinc Cukurova, Universidad Carlos III de Madrid, Spain Jose M. Marin, IMDEA Social Sciences Institute, Spain |
|
Regulation of Large Risk at Bank: Does Executive Compensation Matter? |
Nataliya Klimenko, Aix-Marseille University, GREQAM, France |
|
The effects of macroeconomic variables on German executive directors' compensation |
Rosemarie Koch, hine-Waal University of Applied Sciences, Germany Georg Stadtmann, European University Viadrina, Germany |
|
Exogenous Change in Distribution of Voting Rights and Firm Value: An Analysis of Voting Cap in Indian Banks |
Chinmoy Ghosh, University of Connecticut, United States James Hilliard, University of Georgia, United States Phani B V , Indian Institute of Technology Kanpur, India |
|
Firm Expansion and Stock Price Momentum |
Peter Nyberg, Aalto University School of Economics, Finland Salla Pöyry, Hanken School of Economics, Finland |
|
Can Market Risk Perception Drive to Inefficient Prices? Theory and Evidence |
Matteo Formenti, University of Rome Tor Vergata, Italy |
|
Don't fi |
Paulo Maio, Hanken School of Economics, Finland Pedro Santa-Clara, Nova School of Business and Economics, Portugal |
|
Bank Market Structure and Performance around the World |
Andreas Mattig, University of St Gall, Switzerland Andreas Dietrich, University of Lucerne, Switzerland |
|
The Euro Area Interbank Market and the Liquidity Management of the Eurosystem in the Financial Crisis |
Ulrike Neyer, Heinrich-Heine University Duesseldorf, Germany Achim Hauck, Heinrich-Heine University Duesseldorf, Germany |
|
Half a Nation! - Financial inclusion lessons for India |
Nazuk Kumar, Indian Institute of Technology, Delhi, India |
|
From Wallstreet to Mainstreet |
Andreas Mattig, University of St Gallen, Switzerland Stefan Morkoetter, University of St Gallen, Switzerland |
|
The Effect of External Financing Constraints on Dividend Payout Policy When Agency Problems Exist: Evidence from Indonesian Listed Firms |
Ancella Hermawan, University of Indonesia, Indonesia Desyra Dewanthi, University of Indonesia, Indonesia |
|
The effect of bank monitoring as an alternative of corporate governance mechanisms on the borrowers’ firm value: evidence from indonesian listed firms |
Ancella Hermawan, University of Indonesia, Indonesia Alexandra Ahmad Dina, University of Indonesia, Indonesia |
|
Dividend Taxation and Corporate Investment: International Evidence |
Mohammed Alzahrani, King Fahd University of Petroleum & Minerals, Saudi Arabia |
|
Interest rate volatility, Asymmetric Interest rate pass through and the monetary transmission mechanism in the CSME |
Andre Haughton, University of the West Indies Mona, Jamaica Emma Iglesias, Univesidad de a Carunia, Spain |
|
The effect of family control on corporate performance |
Lourdes Trevino, Universidad Autonoma de Nuevo Leon, Mexico Alejandro Alvarado, Universidad Autonoma de Nuevo Leon, Mexico |
|
ETHICS, WELFARE AND CAPITAL MARKETS |
Christodoulos Stefanadis, University of Piraeus,Greece George Kanatas, Rice University, United States |
|
On the Individual Preferences of the Industry Professionals with Regard to Financial Market Efficiency |
Evgeny Ilin, National Research University Higher School of Economics, Russian Federation |
|
Commodity Derivatives Valuation under a Factor Model with Time-Varying Risk Premia |
Andrés García Mirantes, University of Castilla la Mancha, Spain Francisco Javier Población García, Bank of Spain, Spain Gregorio Manuel Serna Calvo, University of Castilla la Mancha, Spain |
|
Static Hedging of Multiplicative Risk: Theory and Applications |
Andrea Roncoroni, ESSEC Business School, France |
|
Differences of opinion and foreign exchange markets |
Emilio Osambela, Carnegie Mellon University, United States |
|
Impact of Split Share Structure Reform in China on CEO Accountability to Corporate Fraud |
Wenxuan Hou, Durham University Douglas Cumming, York University Edward Lee, University of Manchester |
|
Taxes international clienteles and the value of ADR dividends |
Partington Graham, University of Sydney, Australia Aelee Jun, University of Wollengong, Australia |
|
Contracts for Dummies? The Performance of Individual Investors in Contracts for Difference |
Adrian Lee, University of Technology Sydney, Australia Shan Choy, University of Technology Sydney, Australia |
|
The American Financial Crisis of 1907: How and Why France Rode to the Rescue |
Mary Rodgers, University of South Florida Polytechnic, United States |
|
Idiosyncratic Volatility and Cross-sectional Returns in the Chinese Stock Market |
Gilbert Nartea, Lincoln University, New Zealand Ji Wu, Lincoln University, New Zealand Lee Yao, Loyola University New Orleans, United States |
|
An Empirical Investigation on the Shape of Credit Spread Term Structures |
Kian Guan Lim, Singapore Management University, Singapore |
|
Modeling Spot Price Dependence in Australian Electricity Markets with Applications to Risk Management |
Katja Ignatieva, University of New South Wales, Australia Stefan Trueck, Macquarie University Sydney, Australia |
|
Euronext Stock Exchange Merger and Market Efficiency |
Hooi Hooi Lean, Universiti Sains Malaysia, Malaysia João Paulo Vieito, Polytechnic Institute of Viana do Castelo, Portugal Wing-Keung Wong, Hong Kong Baptist University, Hong Kong |
|
A Nonparametric Model for Spot Price Dynamics and Pricing of Futures Contracts in Australian Electricity Markets |
Katja Ignatieva, University of New South Wales, Australia |
|
Fractal Market Time |
James McCulloch, Macquarie University, Australia |
|
The Option SKEW Index and the Volatility of Volatility |
Zhiguang Wang, South Dakota State University, United States Robert Daigle, Florida International University, United States |
|
Determinants of volatility in Indian Futures |
BB Chakrabarti, Indian Institut of Managemnt, Calcuta (IMMC), India Malay Dey, NYIT, United States, Vivek Rajvanshi, Indian Institut of Managemnt, Calcuta (IIMC), India |
|
Corporate Governance and Acquirer Stock Returns: Evidence from the Banking Industry |
Chinmoy Ghosh, University of Connecticut, United States Di Huang,University of Connecticut, United States Milena petrova, Syracuse University, United States |
|
Ratios and their Relationship with Growth in Sales A Study of the Non-Financial Companies of the Nifty 50 Index |
Shveta Singh, Indian Institute of Technology - Delhi (IIT Delhi), India |
|
Economic Impact of Exchange Rate Regime and Trade Openness: An Asian Perspective |
Simrit Kaur, Faculty of Management Studies, University of Delhi, New Delhi, India Aditya Vikram, Faculty of Management Studies, University of Delhi, New Delhi, India |
|
ASSESSING THE IMPACT OF MERGERS AND ACQUISITIONS ON PERFORMANCE: THE INDIAN EVIDENCE |
Rabi Narayan Kar, University of Delhi, India Amit Soni, University of Delhi, India |
|
Financially Distressed Firms and Equity-Based Incentives |
Bruce Rosser, University of Adelaide, Australia Jean Canil, University of Adelaide, Australia |
|
Buy Back of Shares vs. Significant Change in Dividends:Empirical Study of Determinants of Cash Payout Policy |
Srinivas Shirur, Galgotias Institute of Management Technology, India |
|
Walking Wounded or Living Dead? Making Banks Foreclose Bad Loans |
Max Bruche, CEMFI, Spain Gerard Llobet, CEMFI, Spain |
|
Impact of Corporate Governance on Performance of MFIs: A Case from Pakistan |
Raheel Gohar, National University of Sciences and Technology (NUST), Islamabad, Pakistan Amna Batool, Fatima Jinnah Women University, Rawalpindi, Pakistan |
|
Forecasting without Persistence |
Christophe Boucher, A.A.Advisors-QCG (ABN AMRO), Variances and University of Paris-1 (CES/CNRS), France Bertrand Maillet, A.A.Advisors-QCG (ABN AMRO), Variances and University of Paris-1 (CES/CNRS and EIF), France |
|
The “Smart Money” Effect: Retail versus Institutional Mutual Funds |
Galla Salganik, Ben Gurion University, Israel |
|
Benefits, Challenges and Prospects of Online Retail Banking in India |
Sudhindra Bhat, Alliance University, India |
|
The United States Stock Market Performance During Lehman Brothers Bankruptcy |
Kumari Ranjeeni, The University of the South Pacific, Fiji Rohit Kishore, The University of the South Pacific, Fiji |
|
Disagreement in a Multi-Asset Market |
Xuezhong (Tony) He, University of Technology, Sydney, Australia Lei Shi, University of Technology, Sydney, Australia |
|
Home Country Determinants of Outward FDI: A Study of Select Asian Economies |
Niti Bhasin, Delhi School of Economics, University of Delhi, India Vandana Jain, Shri Ram College of Commerce, University of Delhi, India |
|
Shareholder Concentration and Earnings Management: Evidence from emerging economies |
Dharmendra Naidu, The University of the South Pacific, Fiji Arvind Patel, The University of the South Pacific, Fiji |
|
Financial Crisis, Foreign Banks and Corporate Structure: Emerging Market Stress and Exit Decisions |
Michael Brei, University Paris Ouest, EconomiX, France Carlos Winograd, Paris School of Economics, France |
|
Reserve Holding Incentives of Commercial Banks in the Euro Area during the Financial Crisis |
Achim Hauck, Heinrich-Heine-University Duesseldorf, Germany Ulrike Neyer, Heinrich-Heine-University Duesseldorf, Germany |
|
Financial Policy and Compensation: Payout Policy, Dividend Covenants and Pay-Performance Sensitivity |
Alan Douglas, University of Waterloo, Canada Ranjini Jha, University of Waterloo, Canada |
|
World Financial Crisis and Emerging Market Bank Performance: A Bank Efficiency Study |
Baozhi Qu, SKOLKOVO Institute for Emerging Market Studies, China William Wilson, SKOLKOVO Institute for Emerging Market Studies, China Peng Wang, People’s Bank of China, China |
|
Stock market cycles: How good are they for long-term trading? |
Christian Dunis, Liverpool John Moores University and Horus Partners Wealth Management Group SA, United Kingdom Edith Bellini, University of Seville, Spain Antonio de la Torre Gallegos, University of Seville, Spain |
|
Can RecognitionMake Money? |
Ulkem Basdas, Istanbul Stock Exchange |
|
Risk Classification of SMEs by Early Warning Model Based on Data Mining |
Nermin Ozgulbas, Baskent University, Turkey Ali Serhan Koyuncugil, Capital Markets Board of Turkey, Turkey |
|
Evaluating the existence of structural change in the Brazilian term structure of interest: evidence based on cointegration models with structural break |
Emerson Fernandes Marçal, CEMAP-EESP-FGV and Mackenzie University, Brazil Pedro L. Valls Pereira, CEQEF- EESP-FGV, Brazil |
|
Commonality in Liquidity and the S&P 500 Premium |
Zhenyang Tang, University of Alberta, Canada |
|
Do Sovereign Credit Default Swaps Represent A Clean Measure of Sovereign Default Risk? A Factor Model Approach |
Saad Badaoui, Imperial College London Lara Cathcart, Imperial College London, United Kingdom Lina El-Jahel, Imperial College London, United Kingdom |
|
The 10-Year Treasury Note Market |
George Theocharides, Cyprus International Institute of Management (CIIM), Cyprus Christopher G. Lamoureux, University of Arizona, United States |
|
Going public - going private - the case of VC-backed |
Andrej Gill, Goethe University Frankfurt, Germany Uwe Walz, Goethe University Frankfurt, Center forFinancial Studies, Germany |
|
The Benefits of Market Timing: Evidence from Mergers and Acquisitions |
Evangelos Vagenas-Nanos, University of Glasgow, United Kingdom |
|
On dynamic Relationship among Oil prices, Exchange Rate and Stock Prices in India |
Vanita Tripathi, Department of Commerce, Delhi School of Economics, University of Delhi, India |
|
The Power Log-GARCH Model |
Genaro Sucarrat, BI Norwegian Business School, Norway |
|
Derivative Hedging and IPO Long run Performance |
Hoa Nguyen, Deakin University, Australia Ming-hua Liu, Auckland University of Technology, New Zealand |
|
Understanding Portfolio Efficiency with Conditioning Information |
Francisco Penaranda, Universitat Pompeu Fabra, Spain |
|
Incentives for Attracting Foreign Direct Investment in Bangladesh: A Critical Analysis |
Md. Alam, University of Asia Pacific, Bangladesh |
|
Inflation, Stock Market and Long-term Investors: Real Effects of Changing Demographics |
Arie Gozluklu, University of Warwick, United Kingdom |
|
Relative Scarcity of Commodities with a Long-Term Economic Relationship and the Correlation of Futures Returns |
Jaime Casassus, Pontificia Universidad Catolica de Chile, Chile Peng Liu, Cornell University, United States Ke Tang, Renmin University of China, China |
|
Indemnity Payments in Agricultural Insurance: Risk Exposure of EU States |
Osman Gulseven, Middle East Technical University, Turkey Kasirga Yildirak, Trakya University, Turkey |
|
Hedge Fund Selection: a Robust Directional Application |
Nicolas Nalpas, Toulouse Business School, France Léopold Simar, Institute of Statistics, Université Catholique de Louvain-la-Neuve, Belgium Vanhems Anne, Toulouse Business School and Toulouse School of Economics, France |
|
Transparency, Tax Pressure and Access to Finance |
Andrew Ellul, Indiana University, United States Marco Pagano, University of Naples Federico II, CSEF and CEPR, Italy Fausto Panunzi, Bocconi University, FEEM, CEPR and ECGI, Italy |
|
Financial development and firms' growth |
Maria Bas, CEPII, France Antoine Berthou, Banque de France, France |
|
The Effect of Deposit Insurance on Market Discipline: Evidence from a Natural Experiment on Deposit Flows and Rates |
Koen Schoors, Ghent University and Bank of Finland, Belgium Alexei Karas, Roosevelt Academy, Netherlands |
|
Financial Security of Households in Poland after the First Wave of the Crisis |
Maria Piotrowska, Wroclaw University of Economics, Poland |
|
The Impact of Bilateral Tax Treaties on FDI Inflows: The Case of India |
K. V. Bhanu Murthy, Delhi School of Economics, India |
|
Stabilization and underpricing of initial public offerings (IPOs) |
Khelifa Mazouz, Bradford University, United Kingdom Brahim Saadouni, The University of Manchester, Manchester Business School, United Kingdom Shuxing Yin, Sheffield University,United Kingdom |
|
Dynamic Trading Strategies of Equity Hedge Funds: Empirical evidence on how they adapt to market conditions |
Aline Muller, HEC School of Management, University of Liege, Liege, Belgium & School of Business and Economics, Maastricht University, The Netherlands, Belgium Marie Lambert, School of Business and Economics, Maastricht University, The Netherlands Hamid Babaei, HEC School of Management, University of Liege, Liege, Belgium |
|
Natural Gas Prices on Three Continents |
Péter Erdős, Swiss Institute of Banking and Finance, University of St. Gallen, Switzerland Mihály Ormos, Department of Finance, Budapest University of Technology and Economics, Hungary |
|
Optimal Capital Structure: Theoretical Model and Decision-making |
Zhiqiang Zhang, Renmin University of China, China |
|
Do Internationalized Companies Have Better Governance? Lessons from Brazil |
Andre Carvalhal, Pontifical Catholic University of Rio de Janeiro, Brazil |
|
Is timeliness of corporate financial reporting related to accounting variables? |
Bengü Vuran, Istanbul University,Turkey |
|
Fund concentration and its determinants in the Korean active fund market |
Jee-Hyun Kim, Seoul National University, Korea, Republic Of yuk Choe, Seoul National University, Korea, Republic Of |
|
Board Composition and Value: The Case of Quality Excellence |
Ifigenia Georgiou, Aston University, United Kingdom Andreas Charitou, University of Cyprus, Cyprus Andreas Soteriou, University of Cyprus, Cyprus |
|
The impact of firm’s loan characteristics and leverage on their credit risk – evidence from Chinese listed firms |
Jianchun Miao, University of western Sydney, Australia |
|
Can Banks Circumvent Minimum Capital Requirements? |
Christopher Henderson, Federal Reserve Bank of Philadelphia, United States Julapa Jagtiani, Federal Reserve Bank of Philadelphia, United States |
|
The Pricing of Contingent Claims in a Multivariate Gamma Distributed Economy |
Luiz Vitiello, London Metropolitan University, United Kingdom Ivonia Rebelo, London Metropolitan University, United Kingdom |
|
Estimating the production function for the brazilian industrial sector: a bayesian panel var approach |
Roberto Ivo da Rocha Lima Filho, University of Sao Paulo / FMUSP, Brazil Armando F. Rocha, Enscer, Brazil |
|
Consumer credit and payment cards |
Wilko Bolt, De Nederlandsche Bank, Netherlands Elizabeth Foote, London School of Economics,United Kingdom Heiko Schmiedel, European Central Bank, Germany |
|
Full moon Effect on Investor Psychology and Stock Trading Performance: a mixed approach of Quasi Experimental and Quantitative |
Rayenda Brahmana, School of Management, Universiti Sains Malaysia, Malaysia Hooy Chee Wooi, School of Management, Universiti Sains Malaysia, Malaysia Zamri Ahmad, School of Management, Universiti Sains Malaysia, Malaysia |
|
Estimating Return Parameters with Short Historical Data: The Case of U.S. Treasury Inflation-Protected Securities |
Doriana Ruffino, University of Minnesota |
|
Performance Effects of Corporate Governance Code: An Empirical Study of Indian Companies |
Anil Kumar, Shri Ram College of Commerce, University of Delhi, India |
|
Delegated portfolio management with socially responsible investment constraints |
Annalisa Fabretti, SEFEMEQ, University of Rome Tor Vergata, Italy Stefano Herzel, SEFEMEQ, University of Rome Tor Vergata, Italy |
|
How homogeneous diversification in balanced investment funds affects portfolio and systemic risk |
Rocco Ciciretti, University of Roma Tor Vergata, Italy |
|
Interbank Lending and the Spread of Bank Failures: A Network Model of Systemic Risk |
Andreas Krause, University of Bath, United Kingdom Simone Giansante, University of Bath, Italy |
|
Liberalisation and motives for bank M&A: Evidence from Brazil, 1985-2008 |
Jonathan Williams, Bangor University, United Kingdom |
|
The Impact of the Carbon Market on the Stock Price of Electricity Companies: Further Evidence from the European Context |
Yuan Tian, Griffith University, Australia Alexandr Akimov, Griffith University, Australia Eduardo Roca, Griffith University, Australia Victor Wong, Griffith University,Australia |
|
Security Design of Callable Convertible Bonds and Issuers External Financing Costs |
Khalid el Badraoui, Esc Rennes, France Florence andre le pogamp, Igr Iae de Rennes, France |
|
Nonlinear Investigation for the Impact of Oil Price Volatility on the Fundamental Analysis in G7 Stock Markets |
Chien-Chung Nieh, Tamkang University,Taiwan Hsueh-Chu Yao, Tamkang University, Taiwan |
|
Familiarity and Surprises in International Financial Markets: Bad news travels like wildfire, good news travels slow |
Thomas Wu, UC Santa Cruz, United States Jordi Mondria, UNC Chapel Hill, United States |
|
With or Without a Paradox: Diving into the Distribution of World Capital |
Martin Grandes, Pontifical Catholic University of Agentina, School of Business, Argentina Rodrigo Perez Artica, Universidad Nacional del Sur, Argentina |
|
Distinguished financial model for organizations meant to the elderly or disabled people |
Eduardo Braga, Fundação Santo Andre, Brazil Almir Ferreira de Sousa, FEA-USP, Brazil |
|
Study of Market Sentiment and Capital Investment |
Claudia Yoshinaga, Getulio Vargas Foundation, Brazil Alcides de Araujo, São Paulo University, Brazil Hugo de Moraes Rego, Getulio Vargas Foundation, Brazil William Eid Junior,Getulio Vargas Foundation, Brazil |
|
EXCHANGE MARKET PRESSURE IN PERU: A NON-LINEAR APPROACH |
Daniel Morales, Pontificia Universidad Católica del Perú, Peru |
|
Dynamic hedge ratio estimations in the European Union Emissions Offset Credit Market |
John Fan, Griffith University, Australia Alexandr Akimov, Griffith University, Australi Eduardo Roca, Griffith University, Australia |
|
The working of inside traders in the Brazilian stock market |
William Eid Junior, Getulio Vargas Foundation, Brazil Thiago Bonatto, Getulio Vargas Foundation, Brazil |
|
Underwriting Risk Quantification |
Patricia Rosa, Frankfurt School of Finance and Management,Germany |
|
An Exploratory Study of Enterprise Risk Management’s Underlying Components and Subsequent Weighting |
Sara Lundqvist, Lund University |
|
Efficient Public-Private Capital Structures |
Marian Moszoro, IESE Business School, Spain |
|
Are bank dividends a signal to informed depositors? |
Cristiano Forti, Federal University of Uberlandia – UFU, Brazil Rafael Schiozer, Getulio Vargas Foundation – FGV, Brazil |
|
The effect of environmental initiatives on firm value: evidence from fortune 500 firms |
Ulrich Wassmer, John Molson School of Business Concordia University, Canada Diego C. Cueto, Universidad ESAN, Peru Lorne N. Switzer, John Molson School of Business Concordia University, Canada |
|
Financing gaps, innovation gaps?: new evidence from chile |
Roberto Alvarez, University of Chile and Central Bank of Chile, Chile Gustavo Crespi, Inter-American Development Bank, United States |
|
Signal Reinforcement Strategy: Evidence of Firm Quality in the IPO Offer Price |
Taufique Samdani, IESEG School of Management, France |
|
Is there an optimal forecast combination? A stochastic dominance approach to forecast combination puzzle. |
Mehmet Pinar, Fondazione Eni Enrico Mattei, Italy Thanasis Stengos, University of Guelph, Canada Ege Yazgan, Istanbul Bilgi University, Turkey |
|
Bank Consolidation and Bank Risk Taking Behaviour: A Panel Study of Commercial Banks in Ivory Coast |
Zohore olivier koudou, University of Abidjan-Cocody, Côte D'ivoire Marie-Andrée Akissi KADJO, University of Abidjan-Cocody, Côte D'ivoire |
|
Systemic Risk Analysis using Forward-looking Distance-to-Default Series |
Martin Saldias, Banco de Portugal |
|
Cognitive Biases and Long-range dependence in the option pricing |
Domenico Tarzia, Bocconi University, Italy |
|
Does Corporate Governance matter after all? The effect of governance scores in the value of Canadian companies |
Eloisa Perez-de Toledo, Grant MacEwan University, Canada Evandro Bocatto, Grant MacEwan University, Canada |
|
Optimal Option Portfolio Strategies |
Jose Faias, Católica Lisbon SBE, Portugal Pedro Santa-Clara, NOVA SBE, Portugal |
|
Valuation of real compound options by sequential duplication in a discrete-time binomial model |
Bastian Hauschild, Heinrich-Heine-University Duesseldorf, Germany Daniel Reimsbach, Heinrich-Heine-University Duesseldorf, Germany |
|
Reducing Foreign-Exchange Exposure through REDUCIN (Reverse Dual-Currency Indexed-Note) |
Banikanta Mishra, Xavier Institute of Management, India Sagarika Mishra, Xavier Institute of Management, India |
|
Market Reactions to the Near-Bankruptcy of the Largest Mortgage Provider |
Willoe Freeman, University of Technology, Sydney, Australia Peter Wells, University of Technology, Sydney, Australia Anne Wyatt, University of Queensland, Australia |
|
Operating performance of VC-IPOs – A comparative company approach |
Ragupathy M B, Indian Institute of Management Indore, India Thillairajan Annamalai, Indian Institute of Technology Madras, India |
|
Option pricing with scheduled jumps in the underlying asset |
Dmitry Storcheus, Higher School of Economics, Russian Federation Sergey Gelman, Higher School of Economics, Russian Federation |
|
Relationship Banks, Debt Rollovers and Credit Crises |
Beatriz Mariano, University Carlos III of Madrid,Spain |
|
Anticipatory effects in the FTSE 100 index revisions |
Joao Mergulhao, FGV- EESP, Brazil Marcelo Fernandes, FGV- EESP and QMUL, Brazil |
|
Factors affecting Choice of a Mutual Fund Scheme by Investors -An empirical study in Delhi National Capital Region |
Shri Prakash. Birla Institute of Management Technology Greater Noida, India K C Arora, Birla Institute of Management Technology Greater Noida, India |
|
Intra-bank borrowings and deteriorating balance sheets |
Carmela D'Avino, Banque de France, France |
|
Forward-Premium Puzzle: Is It Time to Abandon the Usual Regression? |
Paulo Matos, CAEN/UFC, Brazil Carlos da Costa, EPGE/FGV, Brazil Jaime Filho, Chicago University |
|
Comparing Numerical and Analytical Methods for Asian Option Pricing |
Liang Cao, University of St Andrews, United Kingdom |
|
Deal Size, Acquisition Premia and Shareholder Gains |
George Alexandridis, ICMA Centre, Henley Business School, UK |
|
Time-Varying Margin Requirements and Optimal Portfolio Choice |
Oleg Rytchkov, Temple University, United States |
|
The use of corporate budget as a tool to support the process in decision making and management control: a comparison study based on mid-sized pharmaceutical industries |
Dariane Reis Fraga Castanheira, University of Sao Paulo, Brazil Carlos Eduardo de Mori Luporini, University of Sao Paulo, Brazil Almir Ferreira de Sousa, University of Sao Paulo, Brazil |
|
Determinants of Chairman Compensation |
Kevin Clarkson, Lund University, Sweden Lars Oxelheim, Lund University, Sweden |
|
Family Firms and Top Management Compensation Incentives |
Zhi Li, Tulane University, United States Harley Ryan, Georgia State University, United States Lingling Wang, Tulane University, United States |
|
Critical Points of Foreign Reserves in Latin America |
Juan Castro, LeTourneau University, Texas, United States Juan Castro, LeTourneau University |
|
A comparative analysis of the performance of mutual funds for “lower-end” and “upper-end” investors: an assessment based on brazilian data |
Manuel A. R. da Fonseca, Federal University of Rio de Janeiro, Brazil Larissa Sant'Anna Ponce, Bradesco Seguros S. A., Brazil |
|
American Options Valuation: Using First -Passage Densities |
Oscar Gutierrez, Universidad Autonoma de Barcelona, Spain |
|
Credit Ratings and Earnings Management: Evidence from Sarbanes-Oxley |
Kelly Carter, Morgan State University, United States |
|
The development of forex market, derivative market and future exchange markets and the financial globalisation in turkey |
Emre Alkin, kemerburgaz university,Turkey Billur Seniğne, Istanbul Kultur University,Turkey |
|
Determinants of Households’ Risk |
Francisco José Callado Muñoz, Universitat de Girona FCEE, Spain Natalia Utrero González, Universitat de Girona FCEE, Spain |
|
Risk-based assessment of deposit insurance fund adequacy |
Sergey Smirnov, Higher School of Economics, Russian Federation Vladimir Zdorovenin, ICMA Centre, University of Reading, United Kingdom |
|
Bonus Schemes and Trading Activity |
Elena Pikulina, Tilburg University, Netherlands Luc Renneboog, Tilburg University, Netherlands Jenke Ter Horst, Tilburg University, Netherlands Philippe Tobler, University of Zurich, Switzerland |
|
Market Reaction, Managerial Response, and the Classification of SEOs |
Konan Chan, University of Hong Kong, Hong Kong Nandu Nayar, Lehigh University, United States Ajai Singh, Lehigh University, United States Wen Yu, University of St. Thomas, United States |
|
Best Face Forward: Does Rating Shopping Distort Observed Bond Ratings? |
Mathias Kronlund, University of Illinois at Urbana-Champaign, United States |
|
Analisis de la politica de financiamiento rural en mexico 1990-2010 |
Filiberto Guadalupe, Universidad Autonoma Chapingo, Mexico Alma Alicia Gomez, Universidad Autonoma Chapingo, Mexico |
|
Do regulatory policies affect the day of the week phenomenon in emerging markets? |
Hisham Farag, University of Birmingham, United Kingdom |
|
Dynamic Models of Exchange Rate Dependence Using Option Prices and Historical Returns |
Leonidas Tsiaras, Aston University, United Kingdom |
|
Integration of Turkish Stock Market with European Stock Markets: Nonlinear Time Varying Correlation Approach |
M. Fatih Oztek, Middle East Technical University, Turkey Nadir Ocal, Middle East Technical University, Turkey |
|
Private Equity Fundraising and Firm Specialization |
Maia Gejadze, Université Catholique de Louvainm, Belgium Pierre Giot, University of Namur, Belgium Armin Schwienbacher, Univ. Lille Nord de France – SKEMA Business Schoo, France |
|
Central Bank Intervention in a Bubble Economy: A Behavioral Approach for the Housing Market |
Adriana Ponta, Universidade Federal Fluminense, Brazil |
|
Does Auditors’ Reputation ‘Discourage’ Related Party Transactions? The French Case |
Bennouri Moez, Rouen Business School, France Nekhili Mehdi, Rouen Business School and Université de Reims, France Touron Philippe, Université Paris 1, France |
|
The Connection Between Economic Value and Net Present Value |
Joel Barber, Florida International University, United States |
|
Is Enterprise Risk Management a Corporate Governance Tool? Evidence from Nordic Countries |
Naciye Sekerci, Lund University, Sweden |
|
Liquidity Biases and the Pricing of Cross-Sectional Idiosyncratic Volatility Around the World |
David Lesmond, Tulane University, United States Yufeng Han, University of Colorado at Denver, United States Ting Hu, Tulane University, United States |
|
Persistent Bad Funds |
Diego C. Cueto, Universidad ESAN, Peru Francisco A. Delgado, Universidad ESAN, Peru |
|
Underwriter reputation and short-run ipo returns: a re-evaluation for an emerging market |
Z. Nuray Guner, Middle East Technical University, Ankara, Turkey Zeynep Onder, Bilkent University, Faculty of Management, Ankara, Turkey Seza Danisoglu, Middle East Technical University, Ankara, Turkey |
|
Oil price dynamics, macro-finance interactions and the role of financial speculation |
Claudio Morana, Università di Milano-Bicocca, Italy |
|
Investor Attention and FX Market Volatility |
Qingwei Wang, Bangor Business School and Centre for European Economic Research (ZEW), United Kingdom Arben Kita, Bangor Business School, United Kingdom |
|
Aggregation and Geometric Returns |
Ken Johnston, Berry College, United States John Hatem, Georgia Southern University, United States |
|
Does Corporate Rebranding Affect Stock Market Prices? A Bootstrapping Approach |
Maria Rosa Borges, ISEG (School of Economics and Management) of the Technical University of Lisbon Ana Sofia Branca, IST (Instituto Superior Técnico) of the Technical University of Lisbon, Portugal |
|
Money left on the table: An analysis of participation in employee stock purchase plans |
Rik Sen, Hong Kong Univ of Science and Technology, Hong Kong Ilona Babenko, Arizona State University, United States |
|
CEO Compensation and the Relation Between it and Factors like CEO’s Tenure and Age and Corporate Performance: Revisited. |
Samuel B. Bulmash, University of South Florida (USF), United States |
|
Social responsibility and the price of financial capital |
Josep a. Tribo, Universidad Carlos III, Spain Moshe Kim, Haifa University, Israel Jordi Surroca, Universidad Carlos III, Spain |
|
Portfolio Choice Implications of Parameter and Model Uncertainty in Factor Models |
Deniz Tudor, San Francisco State University, United States |
|
Determinants of Target Selection and Acquirer Returns: Evidence from Cross-Border Acquisitions |
Sung Bae, Bowling Green State University, United States Kiyouung Chang, University of South Florida Sarasota Manatee, United States Doseong Kim, Sogang University, Korea, Republic Of |
|
Expropriation Level by Controlling Shareholders and Related Corporate Governance Mechanisms |
Elaine Baía, FEA/University Saão Paulo, Brazil Roy Martelanc FEA/University Saão Paulo, Brazil |
|
Hidden Costs of Hidden Debt |
Artashes Karapetyan, Norges Bank, Norway Johan Almenberg, Ministry of Finance, Sweden |
|
ADOPTION AND IMPLEMENTATION OF IFRS IN CHILE IMPACT ON FINANCIAL RATIOS AND THE MARKET REACTION |
Carlos Maquieira, Universidad Santo Tomás, Chile Christian Espinosa, Universidad Diego Portales, Chile Fernando Diaz, Universidad Diego Portales, Chile Allyson Abarca, Universidad Diego Portales, Chile |
|
Information SHaring arrangements: Ownership and coverage |
Artashes karapetyan, Norges Bank, Norway Bogdan Stacescu BI, Norway |
|
The GCC (Gulf Council Countries) and The Optimal Currency Area: Is there a feasibility? |
Abdelhak Benameur, Laboratoire MIFMA University of Tlemcen, Algeria Abderrezak BENHABIB, Laboratoire MECAS University of Tlemcen, Algeria Samir bahaeddine MALIKI, Laboratoire MECAS University of Tlemcen, Algeria Mohamed BENBOUZIANE, Laboratoire MIFMA University of Tlemcen, Algeria |
|
The Euro-Dollar Exchange Rate Regimes Identification: Reconstruction of Non-Linear Dynamical System |
Mikhail Kamrotov, National Research University "Higher School of Economics", Russian Federation |
|
The Dynamics of Credit Default Swap Spreads and Equity Volatility |
Jose Da Fonseca, Auckland University of Technology, New Zealand |
|
Relative Performance of Mean-Variance Optimized Portfolios from Competing Asset Pricing Models |
Harikumar Sankaran, New Mexico State Uniersity, United States |
|
Liquidity Shocks, Local Banks, and Economic Activity: Evidence from the 2007-2009 Crisis |
Juan Carlos Gozzi, Board of Governors of the Federal Reserve, United States |
|
Global and Local Currency Lending: Cross-border Shock Transmission to Indonesia via Internal Fund Transfer |
Yuki Masujima, Japan Center for Economic Research, Japan |
|
Outsider CEO Succession and Firm Performance |
Abu Jalal, Suffolk University, United States |
|
Implicit Guarantees, Governance and Banks’ Risk-Taking through the Crisis |
Apanard Prabhavivadhana, Milken Institute, United States |
|
VICARIOUS AGENCY: Dynamics of CEO Compensation |
Cynthia J. Campbell, Iowa State University, United States Rosita P. Chang, University of Hawaii at Manoa, United States Robert Doktor, University of Hawaii at Manoa, United States Lars Oxelheim, Lund University, Sweden Trond Randoy, University of Agder, Norway |
|
Is the Efficient Markets Hypothesis Dead? The Importance of Balance Sheet Cash and an Explanation for Economic Fragility |
Ramesh Rao, University of Texas at Austin, United States Vipin Agrawal, California State University at Fullerto, United States |
|
Teaching Finance Courses: A Comparison of Face to Face and Online Teaching Platforms |
Chun-Hao Chang, Florida International University, United States Edward Lawrence, Florida International University, United States Arun Prakash, Florida International University, United States |
|
Privatization and Economic Growth in BRIC Countries: Evidence from Panel Data |
Simrit Kaur, Faculty of Management Studies, University of Delhi, New Delhi, India Aditya Vikram, Faculty of Management Studies, University of Delhi, New Delhi, India |
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Divisional Managers and Internal Capital Markets |
Denis Sosyura, University of Michigan, United States Ran Duchin, University of Michigan, United States |
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Return Variation of European Capital Market Portfolios: Testing different risk measures in three-factor models |
Tamara Teplova, National Research University Higher School of Economics, Stock Market Department, Russian Federation Evgenia Mikova, National Research University Higher School of Economics, Stock Market Department, Russian Federation |
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Credit Ratings and Stock Market Performance |
Ercan Balaban, University of Aberdeen, United Kingdom |
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Representative Yield Curve Shocks and Stress Testing |
Christophe VILLA, Audencia Nantes School of Management, France Christophe Pérignon, HEC Paris, France |
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Demand, Competition and Welfare Analysis in the Turkish Banking Sector |
Levent Yildiran, Bogazici University, Turkey Guzin Gulsun Akin, Bogazici University, Turkey Ahmet Faruk Aysan, Bogazici University, Turkey Sebnem Ileri, Bogazici University, Turkey |
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An Analysis of Characteristics of Mutual Fund Mergers and Takeovers in India |
Charu Banga, University of Delhi, India Amitabh Gupta, University of Delhi, India |
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Empirical Exploration on the Relations among Duration, Volume and Orderflow with Ultra-High Frequency USD JPY rate |
Masayuki Susai, Nagasaki University, Japan |
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The Market Value Relevance of Investor Relations |
Xijuan Bellotti, Middlesex University, United Kingdom Vineet Agarwal, University of Warwick, United Kingdom Richard Taffler, Warwick Business School, United Kingdom |
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Corporate Governance, CEO Compensations, and Cross-Border M&A Synergies for Acquiring Bank |
Sheng-Hung Chen, Department of Finance, Nanhua University, Chiayi, Taiwan Yu-Jiun Shen, Department of Finance, Nanhua University, Chiayi, Taiwan |
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Investment information and corporate valuation |
Madhumathi Rajendran, Indian institute of Technology Madras, India Ranganatham Madabhushi, University of Madras, India |
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Low frequency factors and the cross-section of stock returns |
Narayan Bulusu Surya, Bank of Canada, Canada Javier Gómez Biscarri, Universitat Pompeu Fabra and Barcelona Graduate School of Economics, Spain |
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Credit Scores and Loan Portfolio Risk in Small Banks |
Juan Castro, LeTourneau University |
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Determinants of Multifunds Choice in the Chilean AFPs and default effects |
Jose Ruiz, Universidad de Chile, Chile |
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Sharing the Thrown: Co-CEO and Co-Chairman Leadership Structure, Firm Performances and Risk Level |
João Paulo Vieito, Polytechnic Institute of Viana do Castelo, Portugal |
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Dynamic credit rating standards: Why do standards vary over time? |
Puneet Prakash, Virginia Commonwealth University, United States |
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Heterogeneous Beliefs or Private Information: What Affects Prices and Trading Volume? |
Rina Ray, University of Colorado Denver, United States Sugato Chakravarty, Purdue University, United States |
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Bidder Gains in Terminated Deals |
Tilan Tang, Clemson University, United States |
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Market Reactions to M&A Announcements and the Enforcement of Insider Trading Law in Brazil |
Sonia Aparecida Balbinott, HPM Legrand, New Zealand Mei Qiu, Massey University, New Zealand |
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The Impact of the Split-share Structure Reform on Compensation Incentive Based on firm Performance in China |
Qing Yang, Fudan University, China Lin Shi, Guitai Junan Securities Co.Ltd, China |
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Do firms use the trade credit channel to finance growth? |
Klaas Mulier, Ghent University, Belgium Annalisa Ferranda, European Central Bank, Germany |
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Firms' financial constraints: do perceptions match the actual situation? |
Annalisa Ferrando, European Central Bank, Germany Klaas Mulier, Ghent university, Belgium |
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Does the Market Know Better? The Case of Strategic vs. Non-strategic Bankruptcies |
Luis Coelho, University of the Algarve, Portugal Kose John, Stern School of Business NYU, United State Richard Taffler, Warwick Business School,United Kingdom |
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Why the going-concern anomaly: gambling in the market |
Asad Kausar, Nanyang Business School, Singapore Richard Taffler, Warwick Business School, United Kingdom |
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Comprehensive Test of Accounting, Market and Hybrid Bankruptcy Prediction Models |
Julian Bauer, Cranfield University, United Kingdom Vineet Agarwal, Cranfield University, United Kingdom |
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Rating Changes and Stock Returns |
David Camino, Universidad Carlos III de Madrid, Spain Juan Pablo Zuñiga, Fitch Rating, Costa Rica |
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Measuring the Internationalization of a Currency |
Jianxin Wang, University of Technology Sydney, Australia Hansoo Kim, Korean Capital Market Institute, Korea, Republic Of |
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Debt Maturity, Cash Holdings, Dividend Policy and Employee Characteristics |
Balbinder Singh Gill, Ghent University, Belgium |
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Determinants of Foreign Direct Investment in Central and Eastern European Countries: A New Panel Data Analysis |
Miroslav Matev, American University in Bulgaria, Bulgaria Iliya Tsekov, American University in Bulgaria, Bulgaria |
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Group Solvency Optimization Model for Insurance Companies Using Copula Functions |
Masayasu Kanno, Kanagawa University, Japan |
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The Value of Industrial Shareholdings in a Universal Bank: The Case of Deutsche Bank in the 1990s |
Stephan Späthe, Goethe University, ermany |
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Foreign direct investment in india: its trends, patterns and its impact on select macro economic variables |
S. Sudalaimuthu, Pondicherry University, India |
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A Literature Review: How Useful Is Agency Theory - Top Executive Compensation |
Kien Chan, The Hong Kong Shue Yan University, Hong Kong |
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Financial growth and analysis of modaraba sector (kind of islamic banking) since 2001-2009 (case of pakistan) |
Yasir Hassan, lahore Business School, University of lahore, Pakistan |
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Determinants of Banks’ Profitability for OECD Countries Pre and Post the US Subprime Crisis: In Quest for Global Financial Stability Policies |
Indranarain Ramlall, University of Mauritius, Mauritius |
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Applications of Theories of Complexity and Chaos to Mutual Funds in Turkey |
Nazan Caglar, Istanbul Kultur University, Turkey Durmus Dundar, Istanbul Kultur University, Faculty of Economics, Turkey |
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Applications of Theories of Compelexity and Chaos to Gold Prices |
Hikmet Caglar, Istanbul Kultur University, Turkey Muge Iseri, Istanbul Kultur University, Faculty of Economics,Turkey |
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Executive compensation and corporate financial performance: empirical evidences on brazilian industrial companies |
Elizabeth Krauter, University of Sao Paulo, Brazil Almir Ferreira de Sousa, University of Sao Paulo, Brazil |
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Holding Company Discounts and Business Groups Optimal Bailout of Subsidiaries |
Rodrigo González González, Universidad Diego Portales, Chile |
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Multiple Blockholders presence and corporate value in Latin American firms |
Luis Gutiérrez, Facultad de Economía Universidad del Rosario, Colombia Carlos Pombo, Universidad de los Andes -School of Management, Colombia |
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Structure-Performance Relation in Nepalese Banking Industry |
Dinesh Prasad Gajurel, Tribhuvan University, Nepal |
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Mattew D. Hill, University Mississipi, United States |

