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"Articles in English"
Публикации за 2004 г.
Macroeconomics of Speculation
Korkut A. Erturk (скачать pdf)
Stock Options and the Lying Liars Who Don’t Want to Expense Them
Clifford S. Asness (pdf)
Cash flow Reporting Practices for Interest Paid on Zero Coupon Bonds
Charles W. Mulford, Mario Martins (pdf)
THE USEFULNESS OF ACCOUNTING INFORMATION IN ASSESSING SYSTEMATIC RISK: A RE-EXAMINATION
Ronald J. Woan (pdf)
A PEDAGOGICAL EXAMINATION OF THE
RELATIONSHIP BETWEEN OPERATING AND FINANCIAL LEVERAGE AND SYSTEMATIC RISK
Edwin H. Duett, Andreas Merikas, and Manolis D. Tsiritakis (pdf)
THE IMPACT OF OPERATING AND FINANCIAL LEVERAGES AND INTRINSIC BUSINESS RISK ON FIRM VALUE
Slim Mseddi And Fathi Abid (pdf)
Effect of Operating and Financing Leverage on Firm's Risk
Yang H. Huo Francis Kwansa (pdf)
The People’s Romance: Why People Love Government
(as Much as They Do)
Daniel B. Klein (pdf)
Shareholder Value and the Transformation of the American Economy, 1984-2001
Neil Fligstein and Taekjin Shin (pdf)
Social Inequality Working Papers
The Russell Sage Foundation
Global Imbalances: A Contemporary Rashomon Tale with Five Interpretations
Nouriel Roubini's Global Economics Blog
Governance and CEO Turnover: Do Something or Do the Right Thing?
MATTHEW RHODES-KROPF, RAYMOND J. FISMAN, RAKESH KHURANA
Demographically
based global income
forecasts up to the
year 2050
Malmberg and Thomas Lindh
Institute for Futures Studies
Stockholm
Comments on "A reconsideration of tax shield valuation" by Enrique R. Arzac and Lawrence R. Glosten
Fernandez, Pablo
Default Probabilities According to the Bond Market
Byström , Hans and Kwon, Oh Kang
Capital Structure Determinants An Empirical Study of Swedish Companies
Song, Han-Suck
The Global History of Corporate Governance: An Introduction
Randall K. Morck and Lloyd Steier
A Theory of Takeovers and Disinvestment
Bart Lambrecht and Stewart C. Myers
Dynamic Theory of Optimal Capital Structure and Executive Compensation
Andrew Atkeson and Harold Cole
Modeling Bond Yields in Finance and Macroeconomics
Francis X. Diebold, Monika Piazzesi, Glenn Rudebusch
"Value Relevance of Segment Disclosure in Railroad Industry"(in Japanese)
Takashi Obinata
Long-horizon equity return predictability: some new evidence for the United Kingdom
Anne Vila Wetherilt, Simon Wells
Model Averaging and Value-at-Risk Based Evaluation of Large Multi Asset Volatility Models for Risk Management
M. Hashem Pesaran, Paolo Zaffaroni
The Default Rate and Price of Capital in a Costly External Finance Model
Juan Pablo Medina
Capital structure and managerial compensation : the effects of remuneration seniority
Calcagno,R.; Renneboog,L.D.R.
Dividend policy of German firms
Renneboog,L.D.R.; Correia da Silva,L.
Venture capital, private equity and earnings quality
Beuselinck C., Deloof M., Manigart S.
External financing, information disclosure and the timeliness of annual shareholder meetings and financial statement filings in Belgium
Deloof Marc, Weets V.
What One Can Learn From the Initial Public Offering of Google? A Twenty-Year Excursion to the Venture Capital Industry
Emanuel Shachmurove, Yochanan Shachmurove
The Reality of IPO Performance: An Empirical Study of Venture-Backed Public Companies
Yochanan Shachmurove
Real-Time Price Discovery in Stock, Bond and Foreign Exchange Markets
Torben G. Andersen, Tim Bollerslev, Francis X. Diebold, Clara Vega
Institutional Determinants of International Equity Portfolios - A Country-Level Analysis
Barbara Berkel
Spillovers across High Yield Markets
Julius Moschitz
The Efficient Market Hypothesis: Is It Applicable to the Foreign Exchange Market?
Nguyen, James
PIPE Dreams? The Performance of Companies Issuing Equity Privately
David J. Brophy, Paige P. Ouimet, Clemens Sialm
Excess Sensitivity and Volatility of Long Interest Rates: The Role of Limited Information in Bond Markets
Beechey, Meredith
Long-term interest rates, wealth and consumption
Roy Cromb, Emilio Fernandez-Corugedo
Transparency and Reputation: The Publication of Central Bank
Forecasts
Petra Geraats
Corporate Governance Theories: From Micro Theories to National Systems Theories
Gerard Charreaux
Institutions, Arrangements, and Preferences for Inflation Stability: Evidence and Lessons from a Panel Data Analysis
Stefan Krause, Fabio Mendez
The Long-Term Relationship between Capital and Earnings in Banking: Sweden 1870-2001
Hortlund, Per
Credit Constraints and Determinants of the Cost of Capital in Vietnamese Manufacturing
John Rand
Firm Financing in India: Recent Risks and Patterns
Inessa Love, Maria Soledad Martinez Peria
How Widespread is Late Trading in Mutual Funds?
Eric Zitzewitz
Risk adjustment in the Netherlands: an analysis of insurers' health care expenditures
Rudy Douven
Does market timing drive capital structures? A panel data study for Dutch firms
Tijs de Bie, Leo de Haan
Money Illusion in the Stock Market: The Modigliani-Cohn Hypothesis
Randolph B. Cohen, Christopher Polk, Tuomo Vuolteenaho
Weak and Semi-Strong Form Stock Return Predictability Revisited
Wayne E. Ferson, Andrea Heuson, Tie Su
Internationalization and the Evolution of Corporate Valuation
Ross Levine, Sergio L. Schmukler
Consumption Risk and the Cost of Equity Capital
Ravi Jagannathan, Yong Wang
Sector-Specific Volatility Patterns in Investment
Matthias Kredler
Mergers, Investment Decisions and Internal Organisation
Albert Banal-Estano, Ines Macho-Stadler, Jo Seldeslachts
Bank Trading Risk and Systemic Risk
Philippe Jorion
Foreiegn Direct Investment vs. Foreiegn Portfolio Investment
Itay Goldstein, Assaf Razin
A Primer on Pricing European Options with Matlab
Kirby Adam J.R. Faciane
RECOVERABLE COST: THE BASIS OF A GENERAL THEORY OF FINANCIAL ACCOUNTING MEASUREMENT
Stanley C. W. Salvary
Healthy, Educated and Wealthy: Is the Welfare State Really Harmful for Growth?
Beraldo, S., Montolio, D., Turati, G.
Yes, Managers Should Be Paid Like Bureaucrats
Bruno S. Frey, Margit Osterloh
VALUATION OF A BIOTECH COMPANY: A REAL OPTIONS APPROACH
Angel Leon, Diego Piñeiro
Royal Ahold: A Failure Of Corporate Governance
Jong, A. de; DeJong, D.V.; Mertens, G.; Roosenboom, P.
An Analysis Of Strategic Information Published By Large Spanish Hotel Chains.
Clara Isabel Muñoz Colomina, Catalina Vacas Guerrero, Mª Jesús Bonilla Priego, Carmen Avilés Palacios
Investigating the Relationships between the Yield Curve, Output and Inflation using an Arbitrage-Free Version of the Nelson and Siegel Class of Yield Curve Models
Leo Krippner
The Earnings Quality Consequences of Announcements to Voluntarily Adopt the Fair Value Method of Accounting for Stock-Based Compensation
Shilpa Manaktala, John D. Phillips, Karen Teitel
The Term Structure of Real Rates and Expected Inflation
Ang, Andrew and Bekaert, Geert
Pseudo Market Timing: Fact or Fiction?
Dahlquist, Magnus and de Jong, Frank
Mass Migration to Israel and Natives' Transitions from Employment
Cohen-Goldner, Sarit and Paserman, Daniele
Predatory Trading
Brunnermeier, Markus K and Pedersen, Lasse Heje
Can Venture Capital Funds Pick Winners? Evidence from Pre-IPO Survival Rates and Post-IPO Performance
Ber, Hedva & Yafeh, Yishay
The Comovement of Credit Default Swap, Bond and Stock Markets: An Empirical Analysis
Norden, Lars & Weber, Martin
Do Firms Want to Borrow More? Testing Credit Constraints Using a Directed Lending Program
Banerjee, Abhijit & Duflo, Esther
Asset Pricing with Liquidity Risk
Acharya, Viral V & Pedersen, Lasse Heje
Dividend Taxes and Corporate Behaviour: Evidence from the 2003 Dividend Tax Cut
Chetty, Raj & Saez, Emmanuel
Liquidity Risk and Corporate Demand for Hedging and Insurance
Rochet, Jean Charles & Villeneuve, Stephane
Back to basics: historical option pricing revisited
Marc Potters & Jean-Philippe Bouchaud
Portfolio Concentration and the Performance of Individual Investors
ZORAN IVKOVICH, CLEMENS SIALM, SCOTT J. WEISBENNER (pdf, загрузить с портала SSRN)
Are Observed Capital Structures Determined by Equity Market Timing? Armen Hovakimian (pdf, загрузить с портала SSRN)
Do Analyst Conflicts Matter? Evidence from Stock Recommendations
Anup Agrawal, Mark Chen (pdf, загрузить с портала SSRN)
IPO Vintage and the Rise of Idiosyncratic Risk
JASON FINK, KRISTIN FINK, GUSTAVO GRULLON, JAMES WESTON (pdf, загрузить с портала SSRN)
A Review of the Valuation of Evironmental Costs and Benefits in World Bank Projects
Patricia Silva, Stefano Pagiola (pdf)
Полные списки новых публикаций NEP (Complete lists of new NEP's articles)
Начиная с 22 февраля 2005 г.
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