Facet browsing currently unavailable
Page 10 of 1526 results
Sort by: relevance publication year
The hedging effectiveness of DAX futures JOURNAL ARTICLE published December 1998 in The European Journal of Finance |
The Comprehensive Assessment: What lessons can be learned? JOURNAL ARTICLE published 13 October 2018 in The European Journal of Finance |
Performance of closely held firms in Russia: evidence from firm-level data∗ JOURNAL ARTICLE published June 2008 in The European Journal of Finance |
Automatic balancing mechanisms for mixed pension systems under different investment strategies JOURNAL ARTICLE published 11 February 2020 in The European Journal of Finance |
Institutional block-holdings of UK firms: do corporate governance mechanisms matter? JOURNAL ARTICLE published February 2011 in The European Journal of Finance |
Ultra-short tenor yield curve for intraday trading and settlement JOURNAL ARTICLE published 24 March 2021 in The European Journal of Finance Research funded by Manchester University (FinTech Initiative 2017) |
P2P lending and outside entrepreneurial finance JOURNAL ARTICLE published 2 September 2023 in The European Journal of Finance Research funded by Economic and Social Research Council (ES/L011859/1) |
Comparative corporate governance and international portfolios JOURNAL ARTICLE published 14 July 2016 in The European Journal of Finance |
Gas storage valuation under limited market liquidity: an application in Germany JOURNAL ARTICLE published September 2013 in The European Journal of Finance |
Portfolio management using time-varying vine copula: an application on the G7 equity market indices JOURNAL ARTICLE published 24 July 2023 in The European Journal of Finance |
Modelling multivariate moments in European Stock Markets JOURNAL ARTICLE published April 2006 in The European Journal of Finance |
Red sky at night or in the morning, to the equity market neither a delight nor a warning: the weather effect re-examined using intraday stock data JOURNAL ARTICLE published 14 November 2017 in The European Journal of Finance |
Ownership concentration and bank risk: international study on acquisitions JOURNAL ARTICLE published 13 June 2018 in The European Journal of Finance Research funded by Ministry of Science and Technology, Taiwan (NSC100-2410-H-030-027-MY3,NSC102-2410-H-224-008) |
Empirical distributions of stock returns: European securities markets, 1990-95 JOURNAL ARTICLE published 1 March 2001 in The European Journal of Finance |
Time-varying managerial overconfidence and corporate debt maturity structure JOURNAL ARTICLE published 22 January 2018 in The European Journal of Finance |
The Relevance of Accounting Data in the Measurement of Credit Risk JOURNAL ARTICLE published April 2007 in The European Journal of Finance |
New measures for a new normal in finance and risk management JOURNAL ARTICLE published 13 October 2022 in The European Journal of Finance |
Real estate investments and financial stability: evidence from regional commercial banks in China JOURNAL ARTICLE published 2 November 2018 in The European Journal of Finance |
In search of pairs using firm fundamentals: is pairs trading profitable? JOURNAL ARTICLE published 24 March 2023 in The European Journal of Finance |
The cost of equity of internet stocks: a downside risk approach JOURNAL ARTICLE published August 2004 in The European Journal of Finance |