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Year of publication
Subject
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Accounting 19 Theorie 13 Theory 13 Rechnungswesen 12 corporate governance 10 Australia 9 Australien 9 Asset Allocation 6 Common Knowledge 6 Corporate Governance 6 Liquidity 6 Capital Structure 5 E-commerce 5 Internet 5 Market Efficiency 5 Regulatory Competition 5 Asset Pricing 4 Bank 4 Capital Markets 4 China 4 Diversification 4 Großbritannien 4 Hedge Funds 4 Human Capital 4 Regulierung 4 United Kingdom 4 diversification 4 regulatory competition 4 Advertising 3 Allocative Efficiency 3 Auditing 3 Banking Crisis 3 Behavioral Finance 3 Börsenkurs 3 Canada 3 Communication 3 Competition 3 Discrete Choice Models 3 Earnings Management 3 Economic Geography 3
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Online availability
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Free 674
Type of publication
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Book / Working Paper 736
Type of publication (narrower categories)
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Graue Literatur 21 Non-commercial literature 21 Arbeitspapier 19 Working Paper 19 Systematic review 1 Übersichtsarbeit 1
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Undetermined 627 English 96 Portuguese 6 German 4 Danish 1 French 1 Spanish 1
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Author
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Goetzmann, William 59 Goetzmann, William N. 41 Sunder, Shyam 34 Bris, Arturo 24 Fair, Ray 24 Welch, Ivo 19 Romano, Roberta 17 Spiegel, Matthew 17 Sunder, Shyam NMI 17 Cremers, Martijn 16 Zhu, Ning 16 Chen, Zhiwu 15 Rouwenhorst, K. 15 Shubik, Martin 15 Grinblatt, Mark 13 Massa, Massimo 13 Brown, Stephen 12 Mamaysky, Harry 11 Shiller, Robert 11 GOETZMANN, WILLIAM N. 9 Gorton, Gary 9 Kumar, Alok 9 Morris, Stephen 9 Schwartz, Alan 9 Bakshi, Gurdip S. 8 Choi, James 8 Jamal, Karim 8 Peng, Liang 8 Spiegel, Matthew I. 8 Yan, Hongjun 8 Brown, Stephen J. 7 Fabozzi, Frank 7 Laibson, David 7 Madrian, Brigitte 7 Ukhov, Andrey 7 Watanabe, Masahiro 7 Arya, Anil 6 Bhagat, Sanjai 6 Dhar, Ravi 6 Ibbotson, Roger 6
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Institution
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School of Management, Yale University 606 Faculdade de Economia e Gestão, Universidade Católica Portuguesa 43 Frankfurt School of Finance & Management 14 Department of Economics, School of Business Management 4 University of New England / Department of Accounting and Financial Management 3 University <Paisley> 2 University College <Canberra> / Department of Economics and Management 1
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Published in...
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Yale School of Management Working Papers 606 Working Papers de Gestão (Management Working Papers) 43 Working papers 40 Frankfurt School of Finance & Management - Working Papers 13 Working papers / University of New England, Department of Accounting and Financial Management 11 Working papers / Department of Accounting and Financial Management, University of New England 10 Operations Management Working Papers Series, Vol. , pp. -, 2005 7 Department of Accounting and Financial Management working papers / University of New England 4 Management Working Papers 4 Operations Management Working Papers Series, Vol. , pp. -, 2007 4 Economics and management working papers 3 Accounting and financial management working papers 2 MIT Sloan School of Management - Working Papers 2 New York University - Salomon Center for the Study of Financial Institutions - Asset Management - Working Papers 2 New York University - Salomon Center for the Study of Financial Institutions - Publications 2 Operations Management Working Papers Series, Vol. , pp. -, 2008 2 Working Paper Series 2 Arbeitsbericht 1 Arbeitsbericht 159 (2011) 1 Economics & management working papers 1 Economics and management working paper 1 Environment and Natural Resources Management Working papers 1 Environment and natural resources management paper 1 Environment and natural resources management working papers 1 Frankfurt School of Finance & Management - Working Papers Series 1 MIT Sloan School of Management - Publikationen 1 MIT Working Paper 1 Management working paper 1 No. 131(2009) 1 No. 133(2010) 1 No. 136(2010) 1 No. 137(2010) 1 No. 138(2010) 1 No. 143(2010) 1 No. 144(2010) 1 No. 145(2010) 1 No. 150(2010) 1 No. 152(2010) 1 Operations Management Working Papers Series, Vol. , pp. -, 1999 1 Operations Management Working Papers Series, Vol. , pp. -, 2003 1
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Source
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RePEc 653 ECONIS (ZBW) 63 USB Cologne (business full texts) 18 USB Cologne (EcoSocSci) 2
Showing 131 - 140 of 736
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Multifactor Efficiency and Bayesian Inference
Cremers, Martijn - School of Management, Yale University - 2006
This paper reinvestigates the performance of risk-based multifactor models. In particular, we generalize the Bayesian methodology of Shanken (1987b) and Kandel, McCulloch and Stambaugh (1995) from mean-variance efficiency to the ICAPM notion of multifactor efficiency. This methodology uses...
Persistent link: https://www.econbiz.de/10008852967
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A Breakdown of the Valuation Effects of International Cross-Listing
Bris, Arturo; Cantale, Salvatore; Nishiotis, George - School of Management, Yale University - 2006
It is well known that cross-listing domestic stocks in foreign exchanges has significant valuation effects on the listed company's shares. Using a sample of firms with dual shares, we explore the differential effects of cross-listing on prices and we are able to separate the different sources of...
Persistent link: https://www.econbiz.de/10008852968
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How Active is Your Fund Manager? A New Measure That Predicts Performance
Cremers, Martijn; Petajisto, Antti - School of Management, Yale University - 2006
We introduce a new measure of active portfolio management, Active Share, which represents the share of portfolio holdings that differ from the benchmark index holdings. We compute Active Share for domestic equity mutual funds from 1980 to 2003. We relate Active Share to fund characteristics such...
Persistent link: https://www.econbiz.de/10008852977
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Will the Smart Institutional Investor Always Drive Prices to Fundamental Value?
Boynton, Wentworth; Jordan, Steven - School of Management, Yale University - 2006
We study gains to momentum trading from 1946 through 2002. Past papers assume a zero-investment strategy where short sales of losers fund the purchase of winners. In practice, the broker holds the cash from the short sale as collateral, and the investor funds long positions with his own or...
Persistent link: https://www.econbiz.de/10008852981
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Liquidity and Financial Market Runs
Bernardo, Antonio; Welch, Ivo - School of Management, Yale University - 2006
We model a run on a financial market, in which each risk-neutral investor fears having to liquidate shares after a run, but before prices can recover back to fundamental values. To avoid having to possibly liquidate shares at the marginal post-run price - in which case the risk-averse...
Persistent link: https://www.econbiz.de/10005586883
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How do Conflicting Theories about Financial Markets Coexist?
Phoa, Wesley; Focardi, Sergio; Fabozzi, Frank - School of Management, Yale University - 2006
There are many conflicting interpretations of security prices and price determination in financial markets. They range from academic theories based on efficient markets and rational expectations hypotheses, to more traditional methods of fundamental analysis, to theories of "value" and "growth"...
Persistent link: https://www.econbiz.de/10008853984
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Regulation, Competition and Independence in a Certification Society: Financial Reports Vs. Baseball Cards
Sunder, Shyam; Jamal, Karim - School of Management, Yale University - 2006
Mandatory certification of the financial reports of publicly-held corporations by independent auditors has been a key element in U.S. regulatory framework to improve financial reporting. The economic consequences of mandatory certification remain controversial. Although each market is unique,...
Persistent link: https://www.econbiz.de/10008854002
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More Social Security, Not Less
Goetzmann, William - School of Management, Yale University - 2005
This paper explores the feasibility of a government-sponsored insurance company, patterned after the government-sponsored mortgage agencies, that would be authorized to sell government-insured wage-indexed retirement annuities. This enterprise would assume the current obligations and cash flows...
Persistent link: https://www.econbiz.de/10005586884
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The Performance of Real Estate Portfolios: A Simulation Approach
Fisher, Jeffrey; Goetzmann, William - School of Management, Yale University - 2005
In this paper we simulate the performance of real estate portfolios using cash flows from commercial properties over the period 1977 Q4 through 2004 Q2. Our methodology differs from analyses that rely upon historical time-weighted rates of return on property. We relax implicit rebalancing and...
Persistent link: https://www.econbiz.de/10005586898
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Institutional Perspectives on Real Estate Investing: The Role of Risk and Uncertainty
Dhar, Ravi; Goetzmann, William - School of Management, Yale University - 2005
In this paper we address the factors influencing the institutional decision to allocate resources to real estate. We survey a sample of major institutional investors via a web questionnaire. They were willing to answer questions about their target real estate allocation, their plans to increase...
Persistent link: https://www.econbiz.de/10005586952
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