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Records 1 - 20 of 78 matches
Earnings-Based Bonus CompensationFinancial Review, Vol. 44, Issue 4, pp. 469-488, November 2009 António Câmara affiliation not provided to SSRN Date Posted: October 14, 2009 Last Revised: October 14, 2009 Accepted Paper Series
Fractional Integration in Commodity Futures ReturnsFinancial Review, Vol. 44, No. 4, pp. 583-602, November 2009 John Elder and Hyun J. Jin Colorado State University and Chung-Ang University Date Posted: October 14, 2009 Last Revised: October 14, 2009 Accepted Paper Series
Out-of-Sample Predictability in International Equity Markets: A Model Selection ApproachFinancial Review, Vol. 44, Issue 4, pp. 559-582, November 2009 Xiaojing Su , Tao Wang and Jian Yang Texas A&M University , City University of New York (CUNY) - Department of Economics and University of Colorado Denver - The Business School Date Posted: October 14, 2009 Last Revised: October 14, 2009 Accepted Paper Series
The Forward Exchange Rate Bias Puzzle is Persistent: Evidence from Stochastic and Nonparametric Cointegration TestsFinancial Review, Vol. 44, Issue 4, pp. 625-645, November 2009 Raj Aggarwal , Brian M. Lucey and Sunil Mohanty University of Akron - Department of Finance , Trinity College, Dublin - School of Business and University of St. Thomas - College of Business Date Posted: October 14, 2009 Last Revised: October 14, 2009 Accepted Paper Series
The Intertemporal Risk-Return Relation in the Stock MarketFinancial Review, Vol. 44, Issue 4, pp. 541-558, November 2009 Xiaoquan Jiang and Bong Soo Lee Florida International University - Department of Finance and Florida State University Date Posted: October 14, 2009 Last Revised: October 14, 2009 Accepted Paper Series
Director Compensation and the Reliability of Accounting InformationFinancial Review, Vol. 44, Issue 4, pp. 525-539, November 2009 Anwar S. Boumosleh Lebanese American University Date Posted: October 14, 2009 Last Revised: October 18, 2009 Accepted Paper Series
EFA Keynote Speech: 'Corporate Governance and Corporate Social Responsibility: What Do Investors Care About? What Should Investors Care About?'Financial Review, Vol. 44, Issue 4, pp. 461-468, November 2009 Laura T. Starks University of Texas at Austin - Department of Finance Date Posted: October 14, 2009 Last Revised: October 18, 2009 Accepted Paper Series
Excess Control, Corporate Governance and Implied Cost of Equity: International EvidenceFinancial Review, Vol. 44, Issue 4, pp. 489-524, November 2009 Omrane Guedhami , Dev R. Mishra and Memorial University of Newfoundland - Faculty of Business Administration , University of South Carolina - Moore School of Business and University of Saskatchewan - Department of Finance and Management Science Date Posted: October 14, 2009 Last Revised: October 18, 2009 Accepted Paper Series
Personal Bankruptcy Law and New Business FormationFinancial Review, Vol. 44, Issue 4, pp. 647-663, November 2009 Bill B. Francis , Iftekhar Hasan and Haizhi Wang Rensselaer Polytechnic Institute (RPI) , Rensselaer Polytechnic Institute (RPI) - Lally School of Management and Illinois Institute of Technology Date Posted: October 14, 2009 Last Revised: October 25, 2009 Accepted Paper Series
The Corporate Acquisition Policy of Financially Distressed FirmsFinancial Review, Vol. 44, Issue 4, pp. 603-623, November 2009 Dror Parnes University of South Florida Date Posted: October 14, 2009 Last Revised: November 2, 2009 Accepted Paper Series
An Analysis of Individual NYSE Specialist Portfolios and Execution QualityFinancial Review, Vol. 44, Issue 3, pp. 311-344, August 2009 Jerry W. Liu Purdue University - Krannert School of Management Date Posted: July 9, 2009 Last Revised: July 30, 2009 Accepted Paper Series
Higher-Order Systematic Comoments and Asset Pricing: New EvidenceFinancial Review, Vol. 44, Issue 3, pp. 345-369, August 2009 Duong Nguyen and Tribhuvan Puri University of Massachusetts at Dartmouth and University of Massachusetts at Dartmouth - Department of Accounting & Finance Date Posted: July 9, 2009 Last Revised: July 9, 2009 Accepted Paper Series
The Forex Forward Puzzle: The Career Risk HypothesisFinancial Review, Vol. 44, Issue 3, pp. 371-404, August 2009 Fang Liu and Piet Sercu Catholic University of Leuven (KUL) and Katholieke Universiteit, Leuven Date Posted: July 9, 2009 Last Revised: July 9, 2009 Accepted Paper Series
The Halloween Effect in U.S. SectorsFinancial Review, Vol. 44, No. 3, pp. 437-459, August 2009 Ben Jacobsen and Nuttawat Visaltanachoti Massey University - Department of Economics and Finance, Albany and Massey University - Department of Economics and Finance Date Posted: July 9, 2009 Last Revised: July 9, 2009 Accepted Paper Series 1 downloads
The Impact of Large Changes in Asset Prices on Intra-Market Correlations in the Domestic and International MarketsFinancial Review, Vol. 44, Issue 3, pp. 405-436, August 2009 Ehud I. Ronn , Akin Sayrak and Stathis Tompaidis University of Texas at Austin - Department of Finance , University of Pittsburgh - Katz Graduate School of Business - Economics Group and University of Texas at Austin - McCombs School of Business Date Posted: July 9, 2009 Last Revised: July 30, 2009 Accepted Paper Series
Corporate Bond Returns and VolatilityThe Financial Review, Vol. 43, No. 1, pp. 1-26, February 2008 Nianyun Cai and Xiaoquan Jiang University of Michigan at Dearborn - School of Management and Florida International University - Department of Finance Date Posted: February 8, 2008 Last Revised: February 8, 2008 Accepted Paper Series 25 downloads
Security Concentration and Active Fund Management: Do Focused Funds Offer Superior Performance?The Financial Review, Vol. 43, No. 1, pp. 27-49, February 2008 Travis Sapp and Xuemin (Sterling) Yan Iowa State University - Department of Finance and affiliation not provided to SSRN Date Posted: February 8, 2008 Last Revised: February 8, 2008 Accepted Paper Series 21 downloads
Corporate Bond Returns and VolatilityThe Financial Review, Forthcoming Nianyun Cai and Xiaoquan Jiang University of Michigan at Dearborn - School of Management and Florida International University - Department of Finance Date Posted: November 21, 2007 Last Revised: December 3, 2007 Accepted Paper Series 22 downloads
Can Asset Pricing Models Price Idiosyncratic Risk in U.K. Stock Returns?The Financial Review, Vol. 42, No. 4, pp. 507-535, November 2007 Jonathan Fletcher University of Strathclyde, Glasgow - Department of Accounting and Finance Date Posted: November 18, 2007 Last Revised: December 3, 2007 Accepted Paper Series 12 downloads
Diversification in Portfolios of Individual Stocks: 100 Stocks are Not EnoughThe Financial Review, Vol. 42, No. 4, pp. 557-570, November 2007 Dale L. Domian , David A. Louton and Marie D. Racine York University - Atkinson School of Administrative Studies , Bryant University - Department of Finance and University of Saskatchewan - College of Commerce Date Posted: November 18, 2007 Last Revised: December 3, 2007 Accepted Paper Series 25 downloads Records 1 - 20 of 78 matches © 2009 Social Science Electronic Publishing, Inc. All Rights Reserved. Terms of Use Privacy Policy
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