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Year of publication
Subject
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Theorie 388 Theory 388 Börsenkurs 315 Share price 315 USA 296 United States 295 Capital income 255 Kapitaleinkommen 255 Corporate governance 182 Führungskräfte 160 Managers 160 Corporate Governance 159 Portfolio selection 132 Portfolio-Management 132 Stock market 130 Aktienmarkt 129 Estimation 129 Schätzung 129 Announcement effect 128 Ankündigungseffekt 127 Accounting policy 122 Bilanzpolitik 122 Anlageverhalten 121 Behavioural finance 121 Volatility 117 Volatilität 113 Risk 109 Risiko 103 Firm performance 98 Gewinn 96 Profit 96 Financial analysis 91 Finanzanalyse 91 Unternehmenserfolg 90 CAPM 89 Bank 87 Agency theory 85 Forecasting model 84 Asymmetric information 83 Prognoseverfahren 83
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Online availability
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Undetermined 1,265 Free 132
Type of publication
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Article 3,258 Book / Working Paper 23
Type of publication (narrower categories)
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Article in journal 1,647 Aufsatz in Zeitschrift 1,647 Article 15 Rangliste 3 Ranking 3 Systematic review 2 Übersichtsarbeit 2 Collection of articles of several authors 1 Festschrift 1 Sammelwerk 1
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Language
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English 1,681 Undetermined 1,600
Author
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Lee, Cheng F. 40 Lee, Cheng-Few 37 Tse, Yiuman 25 Jaggi, Bikki 22 Chen, Ren-Raw 20 Jo, Hoje 17 Wu, Chunchi 16 Chen, Sheng-Syan 15 Lobo, Gerald J. 15 Shrestha, Keshab 15 Weaver, Daniel G. 15 Hossain, Mahmud 13 Alam, Pervaiz 12 Brooks, Robert 12 Lee, Cheng-few 12 Lee, Picheng 12 Lin, Beixin 12 Mitra, Santanu 12 Chan, Kam C. 11 John, Kose 11 Shaw, Wayne H. 11 Zhao, Ronald 11 Ang, James S. 10 Boateng, Agyenim 10 Brown, Lawrence D. 10 Chen, Carl R. 10 Chen, Sheng-syan 10 Faff, Robert W. 10 Harel, Arie 10 Harpaz, Giora 10 Kwak, Wikil 10 Laksmana, Indrarini 10 Palmon, Oded 10 Ronen, Joshua 10 Vafeas, Nikos 10 Waegelein, James F. 10 Yang, Rong 10 Aggarwal, Raj 9 Akhigbe, Aigbe 9 Chiang, Thomas C. 9
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Published in...
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Review of quantitative finance and accounting 2,393 Review of Quantitative Finance and Accounting 872 Review of Quantitative Finance and Accounting, Forthcoming 6 Review of Quantitative Finance and Accounting, 2019 2 Andriosopoulos, D., and L.G Barbopoulos, Relative Equity Market Valuation Conditions and Acquirers’ Gains, Review of Quantitative Finance and Accounting 1 Forthcoming at Review of Quantitative Finance and Accounting 1 Moin, A., Guney, Y. and El Kalak, I., the Effects of Ownership Structure, Sub-Optimal Cash Holdings and Investment Inefficiency on Dividend Policy: Evidence From Indonesia, Review of Quantitative Finance and Accounting, Forthcoming 1 QMS Research Paper 2021/02 (forthcoming in Review of Quantitative Finance and Accounting 1 Review of Quantitative Finance and Accounting (2022) 1 Review of Quantitative Finance and Accounting(2022) 1 Review of Quantitative Finance and Accounting, 51(2), 283-315, 2018 1 Review of Quantitative Finance and Accounting, August 2016 1
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Source
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ECONIS (ZBW) 1,669 RePEc 851 OLC EcoSci 746 EconStor 15
Showing 2,811 - 2,820 of 3,281
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An Empirical Analysis of Quoted Depths of NYSE and Amex Stocks.
Charoenwong, Charlie; Chung, Kee H - In: Review of Quantitative Finance and Accounting 14 (2000) 1, pp. 85-102
In this study, we find strong intertemporal/cross-sectional correlations between quoted depths and various security characteristics for a sample of stocks listed on the NYSE and Amex. Our empirical results indicate that although specialists are generally unable to discern insider trading as it...
Persistent link: https://www.econbiz.de/10005701317
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Equity Manager Selection and Performance.
Collins, Bruce; Fabozzi, Frank - In: Review of Quantitative Finance and Accounting 15 (2000) 1, pp. 81-97
This paper introduces a methodology to select money managers and examines their performance over a 12-year period. We assess performance empirically by utilizing a series of well-known statistical procedures applied to other data. The value of this study is in the uniqueness of the data and the...
Persistent link: https://www.econbiz.de/10005673806
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Detecting Abnormal Bid-Ask Spread: A Comparison of Event Study Methods.
Affleck-Graves, John; Callahan, Carolyn M; Ramanan, … - In: Review of Quantitative Finance and Accounting 14 (2000) 1, pp. 45-65
This study examines empirical issues associated with the use of bid-ask spreads in event studies. The simulation results indicate that the distribution of average standardized abnormal spread shows little deviation from normality. Simulation results also indicate that the widely used percent...
Persistent link: https://www.econbiz.de/10005673812
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Return Volatility, Trading Imbalance and the Information Content of Volume.
Wu, Chunchi; Xu, Xiaoqing Eleanor - In: Review of Quantitative Finance and Accounting 14 (2000) 2, pp. 131-53
In this paper, we examine the relationship between volume and return volatility using the transaction data. We introduce transaction and volume imbalance measures to capture the information content of trades. These two information measures are shown to have a strong explanatory power for return...
Persistent link: https://www.econbiz.de/10005673815
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A Neural Network Approach for Analyzing Small Business Lending Decisions.
Wu, Chunchi; Wang, Xu-Ming - In: Review of Quantitative Finance and Accounting 15 (2000) 3, pp. 259-76
In this paper, we apply the neural network method to small business lending decisions. We use the neural network to classify the loan applications into the groups of acceptance or rejection, and compare the model results with the actual decisions made by loan officers. Data were collected from a...
Persistent link: https://www.econbiz.de/10005673848
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Managerial Ownership and Accounting Disclosures: An Empirical Study.
Gelb, David S - In: Review of Quantitative Finance and Accounting 15 (2000) 2, pp. 169-85
Persistent link: https://www.econbiz.de/10005673850
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Information Asymmetry and Earnings Management: Some Evidence.
Richardson, Vernon J - In: Review of Quantitative Finance and Accounting 15 (2000) 4, pp. 325-47
This paper conducts an empirical investigation of the relationship between information asymmetry and earnings management predicted by Dye (1988) and Trueman and Titman (1988). When information asymmetry is high, stakeholders do not have sufficient resources, incentives, or access to relevant...
Persistent link: https://www.econbiz.de/10005673862
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An Agency Analysis of Firm Diversification: The Consequences of Discretionary Cash and Managerial Risk Considerations.
Chen, Carl R; Steiner, Thomas L - In: Review of Quantitative Finance and Accounting 14 (2000) 3, pp. 247-60
Firm diversification is shown to be a function of excess discretionary cash flow and managerial risk considerations. We measure firm diversification using the concentric diversification index. The index is positively related to both the number of business units in the firm and the extent to...
Persistent link: https://www.econbiz.de/10005673878
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Valuation Implications of Investment Opportunities and Earnings Permanence.
Jones, Jefferson P; Morton, Richard M; Schaefer, Thomas F - In: Review of Quantitative Finance and Accounting 15 (2000) 1, pp. 21-35
This study investigates the value-relevance of accounting earnings in the presence of investment (growth) opportunities after making two theoretical and methodological research design refinements. First, we test for the incremental effect of growth on firms' earnings response coefficients after...
Persistent link: https://www.econbiz.de/10005673888
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Intangible Assets and Corporate Signaling.
Gelb, David S; Siegel, Philip - In: Review of Quantitative Finance and Accounting 15 (2000) 4, pp. 307-23
Persistent link: https://www.econbiz.de/10005673896
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