Works matching IS 10583300 AND DT 2022 AND VI 40 AND IP 4
Results: 6
Global evidence on early effects of COVID-19 on stock markets.
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- Review of Financial Economics, 2022, v. 40, n. 4, p. 438, doi. 10.1002/rfe.1156
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- Article
Credit enhancement mechanism in loan securitization and its implication to systemic risk.
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- Review of Financial Economics, 2022, v. 40, n. 4, p. 418, doi. 10.1002/rfe.1155
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- Article
The declining trend in trade credit ratios: The impact of firm-specific and macro factors.
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- Review of Financial Economics, 2022, v. 40, n. 4, p. 389, doi. 10.1002/rfe.1150
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- Article
The size effect and default risk: Evidence from the Vietnamese stock market.
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- Review of Financial Economics, 2022, v. 40, n. 4, p. 377, doi. 10.1002/rfe.1149
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- Article
An examination of management responsibility in shock events on shareholders' wealth and reputation-repair actions to rebound losses.
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- Review of Financial Economics, 2022, v. 40, n. 4, p. 348, doi. 10.1002/rfe.1148
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- Article
A Markowitz-based alternative model: Hedging market shocks under endowment constraints.
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- Review of Financial Economics, 2022, v. 40, n. 4, p. 335, doi. 10.1002/rfe.1147
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- Article