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Risk Measures for Hedge Funds: a Cross‐sectional Approach

JOURNAL ARTICLE published March 2007 in European Financial Management

Authors: Bing Liang | Hyuna Park

When fund management skill is more valuable?

JOURNAL ARTICLE published March 2020 in European Financial Management

Authors: Feng Dong | John A. Doukas

The Co‐movement Dynamics of European Frontier Stock Markets

JOURNAL ARTICLE published June 2014 in European Financial Management

Authors: Jarno Kiviaho | Jussi Nikkinen | Vanja Piljak | Timo Rothovius

Editorial: Can we learn from China?

JOURNAL ARTICLE published June 2006 in European Financial Management

Authors: John A. Doukas

Dispersion in Analyst Forecasts and the Profitability of Earnings Momentum Strategies

JOURNAL ARTICLE published June 2002 in European Financial Management

Authors: Andreas Dische

Credit variance risk premiums

JOURNAL ARTICLE published September 2023 in European Financial Management

Authors: Manuel Ammann | Mathis Moerke

Bank Size and Systemic Risk

JOURNAL ARTICLE published May 2011 in European Financial Management

Authors: Amelia Pais | Philip A Stork

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

Authors: Valentina Hartarska | Roy Mersland

Introduction

JOURNAL ARTICLE published November 1999 in European Financial Management

Authors: Patrice Fontaine

Can quantitative investment improve market efficiency?—Evidence from China

JOURNAL ARTICLE published 30 March 2024 in European Financial Management

Authors: Ruiqing Hu | Wang Xiang | Weinan Zheng | Keyu Zhou

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

Authors: Philippe Cornu | Dušan Isakov*

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

Authors: Hossein Asgharian | Björn Hansson

Does Foreign Portfolio Investment Reach Small Listed Firms?

JOURNAL ARTICLE published March 2013 in European Financial Management

Authors: April M. Knill

Testing Conditional Asset Pricing Models Using a Markov Chain Monte Carlo Approach

JOURNAL ARTICLE published June 2008 in European Financial Management

Authors: Manuel Ammann | Michael Verhofen

Equity Issuance, CEO Turnover and Corporate Governance

JOURNAL ARTICLE published September 2005 in European Financial Management

Authors: David Hillier | Scott C. Linn | Patrick McColgan