Found: 9
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Extreme Returns in the European financial crisis.
- Published in:
- European Financial Management, 2017, v. 23, n. 4, p. 728, doi. 10.1111/eufm.12112
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- Article
Retail Investor Attention and IPO Valuation.
- Published in:
- European Financial Management, 2017, v. 23, n. 4, p. 691, doi. 10.1111/eufm.12113
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- Article
An Examination of European Firms' Derivatives Usage: The Importance of Model Selection.
- Published in:
- European Financial Management, 2017, v. 23, n. 4, p. 648, doi. 10.1111/eufm.12115
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- Article
Cold Case File? Inventory Risk and Information Sharing during the pre-1997 NASDAQ.
- Published in:
- European Financial Management, 2017, v. 23, n. 4, p. 761, doi. 10.1111/eufm.12119
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- Article
Retracted: Portfolio Allocation and Asset Returns in an OLG Economy with Increasing Risk Aversion.
- Published in:
- European Financial Management, 2017, v. 23, n. 4, p. 836, doi. 10.1111/eufm.12063
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- Article
Contents: European Financial Management 4/2017.
- Published in:
- European Financial Management, 2017, v. 23, n. 4, p. 543, doi. 10.1111/eufm.12107
- Publication type:
- Article
Relationship Lending and Firms' Leverage: Empirical Evidence in Europe.
- Published in:
- European Financial Management, 2017, v. 23, n. 4, p. 807, doi. 10.1111/eufm.12109
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- Article
The Manipulation Potential of Libor and Euribor.
- Published in:
- European Financial Management, 2017, v. 23, n. 4, p. 604, doi. 10.1111/eufm.12126
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- Article
The Investment CAPM.
- Published in:
- European Financial Management, 2017, v. 23, n. 4, p. 545, doi. 10.1111/eufm.12129
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- Article