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Executive summaries

JOURNAL ARTICLE published June 2001 in European Financial Management

Executive summaries

JOURNAL ARTICLE published December 2001 in European Financial Management

Index to Volume 7, 2001

JOURNAL ARTICLE published December 2001 in European Financial Management

JOURNAL ISSUE published June 2002 in European Financial Management

Announcements

JOURNAL ARTICLE published March 2002 in European Financial Management

Corporate Governance and the Value of Excess Cash Holdings of Large European Firms

JOURNAL ARTICLE published November 2013 in European Financial Management

Authors: Marc B.J. Schauten | Dick van Dijk | Jan‐Paul van der Waal

Directors' Dealing and Post‐IPO Performance

JOURNAL ARTICLE published January 2015 in European Financial Management

Authors: Hafiz Hoque | Meziane Lasfer

Aggregate volatility risk and momentum returns

JOURNAL ARTICLE published 3 November 2023 in European Financial Management

Authors: Efdal Ulas Misirli

CEO talent: A dime a dozen, or worth its weight in gold?

JOURNAL ARTICLE published June 2018 in European Financial Management

Authors: Nicholas E. Donatiello | David F. Larcker | Brian Tayan

JOURNAL ISSUE published July 1995 in European Financial Management

The Impact of Macroeconomic and Financial Variables on Market Risk: Evidence from International Equity Returns

JOURNAL ARTICLE published December 2002 in European Financial Management

Authors: Dilip K. Patro | John K. Wald | Yangru Wu

Options and earnings announcements: an empirical study of volatility, trading volume, open interest and liquidity

JOURNAL ARTICLE published June 2000 in European Financial Management

Authors: Monique, W.M. Donders | Roy Kouwenberg | Ton, C. F. Vorst

Deposit Finance as a Commitment Device and the Optimal Debt Structure of Commercial Banks

JOURNAL ARTICLE published January 2013 in European Financial Management

Authors: Matthias Bank | Jochen Lawrenz

Agency‐Based Asset Pricing and the Beta Anomaly

JOURNAL ARTICLE published September 2014 in European Financial Management

Authors: David Blitz

Timeliness of Spread Implied Ratings

JOURNAL ARTICLE published June 2008 in European Financial Management

Authors: Jianming Kou | Simone Varotto

Sovereign risk assessment and agency credit ratings

JOURNAL ARTICLE published July 1996 in European Financial Management

Authors: Richard Cantor | Frank Packer

Target Risk Funds

JOURNAL ARTICLE published September 2016 in European Financial Management

Authors: Edwin J. Elton | Martin J. Gruber | Andre de Souza

Product Market Competition, Corporate Governance, and Firm Value: Evidence from the EU Area

JOURNAL ARTICLE published June 2013 in European Financial Management

Authors: Manuel Ammann | David Oesch | Markus M. Schmid

Issue Information: European Financial Management 5/2021

JOURNAL ARTICLE published November 2021 in European Financial Management

Issue Information: European Financial Management 2/2021

JOURNAL ARTICLE published March 2021 in European Financial Management