The signaling effect of durations between equity and debt issues

Gespeichert in:
Bibliographische Detailangaben
Veröffentlicht in:Financial markets, institutions & instruments
1. Verfasser: Bilinski, Pawel (VerfasserIn)
Weitere Verfasser: Mohamed, Abdulkadir (VerfasserIn)
Format: UnknownFormat
Sprache:eng
Veröffentlicht: 2015
Schlagworte:
Tags: Tag hinzufügen
Keine Tags, Fügen Sie den ersten Tag hinzu!
Titel Jahr Verfasser
Managerial gaming of stock and option grants 2017 Tian, Yisong Sam
Do multinational banks create or destroy shareholder value? : a cross-country analysis 2017 Gulamhussen, Mohamed Azzim
Survive the droughts, I wish you well : principles and cases of liquidity risk management 2017 Tuckman, Bruce
Development and functioning of FX markets in Asia and the Pacific 2017 Levich, Richard M.
Does the bond-stock earnings yield differential model predict equity market corrections better than high P/E models? 2017 Lleo, Sébastien
Too big to fail : measures, remedies, and consequences for efficiency and stability 2017 Barth, James R.
Does political pressure matter in bank lending? : evidence from China 2017 Cai, Weixing
The rise of China's securitization market 2017 Tang, Ya
Dissecting foreign bank lending behavior during the 2008-2009 crisis 2016 Choi, Moon Jung
The role of sovereign ratings in M&A markets : empirical evidence from Latin America and South East Asia 2016 Nguyen, Janna Mai
The technology of ratings then and now; hiding in plain sight 2016 Wilson, Berry K.
Were US Banks exposed to the Greek debt crisis? : evidence from Greek CDS spreads 2016 Cornett, Marcia Millon
Islamic and conventional equity market movements during and after the financial crisis : evidence from the newly launched MSCI indices 2016 Hoque, Hafiz
A comparison of the efficacy of liquidity, momentum, size and book-to-market value factors in equity pricing on a heterogeneous sample : evidence from Asia 2016 Hearn, Bruce
High frequency trading and US stock market microstructure : a study of interactions between complexities, risks and strategies residing in U.S. equity market microstructure 2016 Abrol, Samir
Bank diversification and overall financial strength : international evidence 2016 Doumpos, Michael
How accurately can z-score predict bank failure? 2016 Chiaramonte, Laura
A new data set on competition in national banking markets 2015 Clerides, Sofronis
Understanding the components of bank failure resolution costs 2015 Bennett, Rosalind L.
Bankruptcy remoteness and incentive-compatible securitization 2015 Chiesa, Gabriella
Alle Artikel auflisten