Financial return risk and the effect on shareholder wealth : how M&A announcements and banking crisis events affect stock mean returns and stock return risk ; a compendium of five empirical studies across selective industries
Year of publication: |
2012
|
---|---|
Authors: | Raudszus, Malte Helmut |
Publisher: |
Frankfurt am Main [u.a.] : Lang |
Subject: | Kapitaleinkommen | Capital income | Börsenkurs | Share price | Diversifikation | Diversification | Übernahme | Takeover | Bankenkrise | Banking crisis | Immobilienfonds | Real estate fund | Schuldenübernahme | Bailout | Finanzkrise | Financial crisis | Schätzung | Estimation | Welt | World | Bauindustrie | Aktie | Risiko | Wertschöpfung | Vermögensentwicklung | Brauwirtschaft | Mergers and Acquisitions | Debt Management | Immobilienfonds auf Aktien |
Description of contents: | Table of Contents [gbv.de] ; Description [deposit.dnb.de] |
-
Interrelation between credit and equity markets pre- and amid the financial crisis of 2008
Trutwein, Patrick Alfred, (2010)
-
Impact of the financial crisis on banking acquisitions : a look at shareholder wealth
Rao-Nicholson, Rekha, (2015)
-
Idiosyncratic risks, bailout, and financial crisis : a copula approach
Wang, Daphne, (2015)
- More ...
-
Does vertical diversification create superior value? : evidence from the construction industry
Raudszus, Malte Helmut, (2014)
- More ...