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Year of publication
Subject
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Theorie 117 Theory 117 Börsenkurs 88 Share price 88 Volatility 83 Welt 80 World 80 Capital income 68 Kapitaleinkommen 68 Stock market 68 Volatilität 68 Aktienmarkt 66 Estimation 64 Schätzung 63 Stock markets 60 Portfolio selection 57 Portfolio-Management 56 USA 51 United States 51 Coronavirus 46 Monetary policy 43 Behavioural finance 42 Economic growth 42 Financial market 40 Finanzmarkt 40 United States of America 40 Anlageverhalten 39 Financial crisis 39 Capital structure 36 Impact assessment 36 Wirkungsanalyse 36 Stock returns 35 Italy 34 Emerging markets 32 United Kingdom 32 Bank 31 Risk 31 Corporate governance 30 Finanzkrise 29 Italien 27
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Online availability
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Undetermined 1,073 Free 196
Type of publication
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Article 1,262 Book / Working Paper 198
Type of publication (narrower categories)
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Article in journal 410 Aufsatz in Zeitschrift 410 research-article 251 review-article 201 Arbeitspapier 185 Graue Literatur 185 Non-commercial literature 185 Working Paper 185 non-article 9 conceptual-paper 7 review 6 technical-paper 5 back-matter 4 Aufsatzsammlung 3 case-report 2 Collection of articles of several authors 1 Sammelwerk 1 Systematic review 1 viewpoint 1 Übersichtsarbeit 1
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Language
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English 1,269 Undetermined 191
Author
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Mollah, Sabur 16 Zazzaro, Alberto 14 Jappelli, Tullio 13 Pagano, Marco 12 Huston, John H. 9 Spencer, Roger W. 9 Bizzarri, Matteo 8 Eisenhauer, Joseph G. 8 Floros, Christos 8 Gupta, Rangan 8 Hassan, M. Kabir 8 Liu, Bin 8 McMillan, David G. 8 Morelli, Salvatore 8 Narayan, Paresh Kumar 8 Nisticò, Roberto 8 Sartori, Elia 8 Yaghoubi, Reza 8 Darrat, Ali F. 7 Gibb, Jenny 7 Graziano, Maria Gabriella 7 Gurrib, Ikhlaas 7 Holmes, Mark J. 7 Kumar, Dilip 7 Locke, Stuart 7 Oliviero, Tommaso 7 Pesce, Marialaura 7 Piccolo, Salvatore 7 Russo, Francesco Flaviano 7 Sivaprasad, Sheeja 7 Aliu, Florin 6 Burton, Bruce 6 Dutt, Swarna D. 6 French, Joseph J. 6 Fuerst, Franz 6 Ghosh, Dipak 6 Harvie, Charles 6 Immordino, Giovanni 6 Kryzanowski, Lawrence 6 Maung, Min 6
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Institution
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University of Salerno / Centre for Studies in Economics and Finance 1
Published in...
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Studies in Economics and Finance 844 Studies in economics and finance 424 Working paper 185 Centre for Studies in Economics and Finance - Working Papers 1 Forthcoming, “Studies in Economics and Finance”, Emerald publishing, DOI (10.1108/SEF-02-2018-0058) 1 Gurrib, I. (2019), "Can energy commodities affect energy blockchain-based cryptos?", Studies in Economics and Finance 1 Gurrib, I. (2021). Early COVID-19 Policy Response on Healthcare Equity Prices. Studies in Economics and Finance 1 Institute of Public and Business Administration Studies in Economics and Finance 1 Studies in Economics and Finance 29(4), 301-319 1 Studies in Economics and Finance Ser. 1 Working Paper No. 150 1
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Source
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Other ZBW resources 665 ECONIS (ZBW) 605 RePEc 178 OLC EcoSci 10 USB Cologne (business full texts) 1 USB Cologne (EcoSocSci) 1
Showing 911 - 920 of 1,460
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Impact of future trading on stock market: a study of BRIC countries
Gahlot, Ruchika; Datta, Saroj Kumar - In: Studies in Economics and Finance 29 (2012) 2, pp. 118-132
Purpose – The purpose of this paper is to examine the impact of the future of trading on volatility as well as the efficiency of the stock market of BRIC (Brazil, Russia, India and China) countries. This study also investigates the presence of day‐of‐the‐week effect in BRIC countries'...
Persistent link: https://www.econbiz.de/10015013652
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The impact of financial development on economic growth : Empirical analysis of emerging market countries
Masoud, Najeb; Hardaker, Glenn - In: Studies in Economics and Finance 29 (2012) 3, pp. 148-173
Purpose – The purpose of this paper is to provide a theoretical framework that integrates the endogenous growth and functions of financial markets and institutions theory in order to investigate how the financial market and the banking sector develop indicators that affect economic growth in...
Persistent link: https://www.econbiz.de/10015013653
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Causality between stock and foreign exchange markets in Bangladesh
Noman, Abdullah M.; Humayun Kabir, Sarkar; Bashar, Omar … - In: Studies in Economics and Finance 29 (2012) 3, pp. 174-186
Purpose – The purpose of this paper is to uncover the direction of causality between foreign exchange market and stock market in Bangladesh, where financial markets are yet in their early development stage. Design/methodology/approach – The paper employs the Granger causality tests using...
Persistent link: https://www.econbiz.de/10015013654
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Exchange rate determination and structural changes in response to monetary policies
Kurihara, Yutaka - In: Studies in Economics and Finance 29 (2012) 3, pp. 187-196
Purpose – The purpose of this article is to analyse methods for determination of exchange rates in response to fundamental economic variables and changes in monetary policies. Design/methodology/approach – The paper undertakes empirical examination of exchange rate movements and their...
Persistent link: https://www.econbiz.de/10015013655
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Productivity growth of zakat institutions in Malaysia : An application of data envelopment analysis
Wahab, Norazlina Abd.; Rahim Abdul Rahman, Abdul - In: Studies in Economics and Finance 29 (2012) 3, pp. 197-210
Purpose – The purpose of this paper is to analyze the changes in productivity of zakat institutions in Malaysia from 2003 to 2007. The data consist of a panel of 14 State Islamic Religious Councils (SIRCs) in Malaysia. Efficiency is measured by the Malmquist Index, using a data envelopment...
Persistent link: https://www.econbiz.de/10015013656
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Stock market volatility and bank performance in China
Tan, Yong; Floros, Christos - In: Studies in Economics and Finance 29 (2012) 3, pp. 211-228
Purpose – The purpose of this paper is to evaluate the determinants of bank performance in China. In particular, the paper examines the effects of stock market volatility, competition and ownership on bank performance in China. Design/methodology/approach – The sample comprises a total of 11...
Persistent link: https://www.econbiz.de/10015013657
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Managerial incentives, net debt and investment activity in all‐equity firms
Alderson, Michael J.; Betker, Brian L. - In: Studies in Economics and Finance 29 (2012) 4, pp. 232-246
Purpose – The purpose of this paper is to examine the impact of managerial risk exposure on capital structure selection (net debt, or debt minus cash) as well as return on assets, capital expenditures, research and development expenditures and stock price performance....
Persistent link: https://www.econbiz.de/10015013658
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Neurofinance and investment behaviour
Kalra Sahi, Shalini - In: Studies in Economics and Finance 29 (2012) 4, pp. 246-267
Purpose – The purpose of this paper is to present a review as well as a synthesis of the extant literature in the field of Neurofinance. The paper has been divided into eight parts. The first and second parts introduce the paper and dwell upon the brain functions in financial decisions. Part...
Persistent link: https://www.econbiz.de/10015013659
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Monetary policy effects on investment spending: a firm‐level study of Malaysia
Abdul Karim, Zulkefly - In: Studies in Economics and Finance 29 (2012) 4, pp. 268-286
Purpose – The purpose of this paper is to explore the role of monetary policy transmission mechanism channel on firms' investment spending. The focal point is to investigate the differential of monetary policy effects across sub‐sector firms' investment by examining the role of interest...
Persistent link: https://www.econbiz.de/10015013660
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An empirical analysis of Iran's banking performance
Arjomandi, Amir; Harvie, Charles; Valadkhani, Abbas - In: Studies in Economics and Finance 29 (2012) 4, pp. 287-300
Purpose – The purpose of this paper is to investigate the efficiency and productivity growth of the Iranian banking industry between 2003 and 2008, encompassing pre‐ and post‐2005‐reform years. Design/methodology/approach – The study uses a new decomposition of the Hicks‐Moorsteen...
Persistent link: https://www.econbiz.de/10015013661
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