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3103篇 您的检索式:期刊名="Financial Analysis"
    题名 作者 年代 出处 被引量
1Corporate Governance and Institutional Ownership显示文摘Kee H. Chung Hao Zhang 2010Journal of Financial and Quantitative Analysis2010,,:2
2An International Comparison of Capital Structure and Debt Maturity Choices显示文摘Fan Joseph P. H. Titman Sheridan Twite Garry 2012Journal of Financial and Quantitative Analysis2012,,1:2
3Information Shocks, Liquidity Shocks, Jumps, and Price Discovery: Evidence from the U.S. Treasury Market显示文摘George J. Jiang Ingrid Lo Adrien Verdelhan 2010Journal of Financial and Quantitative Analysis2010,,2:2
4An examination of the stockholdings and trades of fund managers显示文摘Chen H L Jegadeech N Wermers R 2000Journal of Financial and Quantitative Analysis2000,35,:1
5Firm Performance and Mechanisms to Control Agency Problems between Managers and Shareholders显示文摘 C R Knoeber 1996Journal of Financial and Quantitative Analysis1996,31,37:1
6A note on the comparison of logit and discriminant models of consumer credit behaviour显示文摘 1980Journal of Financial and Quantitative Analysis1980,,15:1
7Optimal hedging policies显示文摘 1984Journal of Financial and Quantitative Analysis1984,19,:1
8Firm performance and mechanisms to control agency problems between managers and shareholders显示文摘Agrawal A Knoeber C R 1996Journal of Financial and Quantitative Analysis1996,31,3:1
9Behavioral portfolio theory显示文摘Shefrin H Statman M 2000Journal of Financial and Quantitative Analysis2000,35,2:1
10International acquisitions and shareholder wealth: Evidence from the Netherlands显示文摘Corhay A Rad T 2000International Reviews of Financial Analysis2000,9,:1
11Does Insider Trading Impair Market Liquidity?Evidence from IPO Lockup Expirations显示文摘Cao C Field L C Hanka G R 2002Journal of Financial and Quantitative Analysis2002,,5:1
12The design of bankruptcy law: A case for management bias in bankruptcy reorganizations显示文摘Berkovitch E Israel R Zender J 1998Journal of Financial and Quantitative Analysis1998,33,:1
13Behavioral portfolio theory显示文摘Shefrin H Statman M 2000Journal of Financial and Quantitative Analysis2000,35,2:1
14The dynamics of stock index and stock index futures returns显示文摘Stoll H R Whaley R E 1990Journal of Financial and Quantitative Analysis1990,25,:1
15A Note on the Comparison of Logit and Diseriminant Models of Consumer Credit Behavior 显示文摘Wiginton J C 1980Journal of Financial and Quantitative Analysis1980,15,:1
16Models of capital budgeting,E-V versus E-S显示文摘Mao J C T 1970Journal of Financial and Quantitative Analysis1970,5,:1
17The relation between price changes and trading volume: A survey显示文摘Karpoff J M 1987Journal of Financial and Quantitative Analysis1987,22,:1
18Factoring information into returns显示文摘Easley D Hvidkjaer S O Hara M 2010Journal of Financial and Quantitative Analysis2010,45,2:1
19Do Better Institutions Mitigate Agency Problems? Evidence from Corporate Finance Choices 显示文摘Mariassunta Giannetti 2003The Journal of Financial and Quantitative Analysis2003,,1:1
20International Transmission of Stock Market Movements显示文摘Eun C S Shim S 1989Journal of Financial And Quantitative Analysis1989,24,2:1
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