Option trading and stock returns : a re-examination
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2003 |
Narayanan, Rajesh P. |
Do exchange listings bring the desired improvement in liquidity? : Observations from the Nordic markets for venture capital and IPOs
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2003 |
Westerholm, P. Joakim |
European financial market integration : evidence on the emergence of a single Eurozone retail banking market
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2003 |
Kleimeier, Stefanie |
A dynamic model of bank production with adjustment costs and multiple risk effects
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2003 |
Bessler, Wolfgang |
Efficiency change, technological progress and productivity growth in small thrift institutions : the case of US cooperative banks
|
2003 |
Elyasiani, Elyas |
What explains the difference between the futures' price and its "fair" value? : Evidence from the Euronext Amsterdam
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2003 |
Berglund, Tom |
Corporate growth options and systematic risk
|
2003 |
Sarkar, Sudipto |
Risk-return relationship in the banking industry
|
2003 |
Osborne, Dale K. |
Foreign entry and efficiency : evidence from the Brazilian banking industry
|
2003 |
Vasconcelos, Marcos Roberto |
R&D subsidies and uncertain innovation : do small and large firms respond differently to subsidy changes?
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2003 |
Goel, Rajeev K. |
Future challenges for securities and derivative markets
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2003 |
Malkamäki, Markku R. J. |
Technological development and concentration of stock exchanges in Europe
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2003 |
Schmiedel, Heiko |
Deregulation, markups and productivity change : the case of Spanish banks
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2003 |
Kumbhakar, Subal |
The bank closure policy and the optimal incentive contract for self-interested regulators
|
2003 |
Chen, Yehning |
Can we beat the Dow? : The mirage of growth strategies
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2003 |
Becchetti, Leonardo |
On equilibrium asset prices when markets are incomplete
|
2002 |
Madrigal, Vicente |
The effects of background risk on optimal portfolios
|
2002 |
Jokung, Octave |
The dynamics of capital structure : evidence from Swedish micro and small firms
|
2002 |
Heshmati, Almas |
Determinants of leverage and access to credit : evidence on Western and Eastern Europe countries
|
2002 |
Weill, Laurent |
Credit risk in the traditional banking book : a VaR approach under correlated defaults
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2002 |
Zazzara, Cristiano |