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Risk Measures for Hedge Funds: a Cross‐sectional Approach JOURNAL ARTICLE published March 2007 in European Financial Management |
When fund management skill is more valuable? JOURNAL ARTICLE published March 2020 in European Financial Management |
The Co‐movement Dynamics of European Frontier Stock Markets JOURNAL ARTICLE published June 2014 in European Financial Management |
Editorial: Can we learn from China? JOURNAL ARTICLE published June 2006 in European Financial Management |
Dispersion in Analyst Forecasts and the Profitability of Earnings Momentum Strategies JOURNAL ARTICLE published June 2002 in European Financial Management |
Credit variance risk premiums JOURNAL ARTICLE published September 2023 in European Financial Management |
Bank Size and Systemic Risk JOURNAL ARTICLE published May 2011 in European Financial Management |
JOURNAL ISSUE published November 2019 in European Financial Management |
Which Governance Mechanisms Promote Efficiency in Reaching Poor Clients? Evidence from Rated Microfinance Institutions JOURNAL ARTICLE published March 2012 in European Financial Management |
Introduction JOURNAL ARTICLE published November 1999 in European Financial Management |
Can quantitative investment improve market efficiency?—Evidence from China JOURNAL ARTICLE published 30 March 2024 in European Financial Management |
JOURNAL ISSUE published January 2011 in European Financial Management |
Issue Information: European Financial Management 3/2022 JOURNAL ARTICLE published June 2022 in European Financial Management |
JOURNAL ISSUE published March 2013 in European Financial Management |
Announcements JOURNAL ARTICLE published September 2000 in European Financial Management |
The Deterring Role of the Medium of Payment in Takeover Contests: Theory and Evidence from the UK JOURNAL ARTICLE published December 2000 in European Financial Management |
Cross‐sectional analysis of Swedish stock returns with time‐varying beta: the Swedish stock market 1983–96 JOURNAL ARTICLE published June 2000 in European Financial Management |
Does Foreign Portfolio Investment Reach Small Listed Firms? JOURNAL ARTICLE published March 2013 in European Financial Management |
Testing Conditional Asset Pricing Models Using a Markov Chain Monte Carlo Approach JOURNAL ARTICLE published June 2008 in European Financial Management |
Equity Issuance, CEO Turnover and Corporate Governance JOURNAL ARTICLE published September 2005 in European Financial Management |