Empirical research. of corporate finance and investment policy Record 1 to 20 of 82 records The next 20 records
1.
A Generalization of the Calendar Time Portfolio Approach and the Performance of Private Investors
2.
A Reconsideration of the Risk Sensitivity of U.S. Banking Organization
Subordinated Debt Spreads: A Sample Selection Approach
3.
A nonlinear structural model for volatility clustering
4.
Actual Federal Reserve Policy Behavior and Interest Rate Rules
5.
Adaptive beliefs and the volatility of asset prices
6.
An Empirical Analysis of Zero-Leverage and Ultra-
Low Leverage Firms: Some U.K. Evidence
7.
An Examination of Treasury Term Investment Interest Rates
8.
Asset Allocation under Multivariate Regime Switching
9.
Bank Capital Requirements for Market Risk: The Internal Models Approach
10.
Börsengänge von Konzerneinheiten :
Handlungsempfehlungen des Arbeitskreises
Finanzierung auf Basis einer empirischen
Untersuchung deutscher Equity Carve-Outs
und Spin-Offs (1997 - 2000)
11.
Corporate R&D and Productivity in Germany and the United Kingdom
12.
Deutsche Großunternehmen besitzen zu viele Immobilien
13.
Die wirtschaftliche Situation deutscher
Wohnungsunternehmen ? eine empirische
Untersuchung
14.
Direktinvestitionen der deutschen Bau- und
Baustoffmaschinenindustrie in China : Eine Bestandsaufnahme
15.
Disclosure, Volatility, and Transparency: An Empirical Investigation into the Value of Bank Disclosure
16.
Do prices respond stronger to more precise news? - Testing for the catalyzing effects of precision signals in the U.S. employment report
(Reagieren Preise stärker bei präziseren Informationen?)
17.
Does partnering pay off? Stock Market Reactions to Alliance Announcements in Germany
18.
EXCHANGE RATE REGIMES AND INFLATION ?
ONLY HARD PEGS MAKE A DIFFERENCE
19.
Economic Value Added zur Prognose der
Performance europäischer Aktien
20.
Efficiency and Profitability of European Banks ? How Important Is Operational Efficiency?
The next 20 records