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EDITORIAL: New perspectives of corporate governance, regulation and markets: Is there a need for a new theory on them?
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- Risk Governance & Control: Financial Markets & Institutions, 2021, v. 11, n. 2, p. 4, doi. 10.22495/rgcv11i2editorial
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- Article
THE IMPACT OF THE INTELLECTUAL CAPITAL COMPONENTS ON FIRM'S PERFORMANCE IN EMERGING MARKETS.
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- Risk Governance & Control: Financial Markets & Institutions, 2021, v. 11, n. 2, p. 8, doi. 10.22495/rgcv11i2p1
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- Article
LIQUIDITY RISK: INTRADAY LIQUIDITY AND PRICE SPILLOVERS IN EURO AREA SOVEREIGN BOND MARKETS.
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- Risk Governance & Control: Financial Markets & Institutions, 2021, v. 11, n. 2, p. 18, doi. 10.22495/rgcv11i2p2
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- Article
CORPORATE SOCIAL RESPONSIBILITY AND FIRM PERFORMANCE: MODIFIED SOCIAL CONTRIBUTION VALUE PER SHARE.
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- Risk Governance & Control: Financial Markets & Institutions, 2021, v. 11, n. 2, p. 32, doi. 10.22495/rgcv11i2p3
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- Article
SINGLE SUPERVISORY MECHANISM AND CORPORATE FINANCE: A DSCR BASED APPROACH FOR AQR PRUDENTIAL PROVISIONING.
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- Risk Governance & Control: Financial Markets & Institutions, 2021, v. 11, n. 2, p. 47, doi. 10.22495/rgcv11i2p4
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- Article
LEGISLATIVE PRESSURE AND CREDIT RATING AGENCY BEHAVIOR.
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- Risk Governance & Control: Financial Markets & Institutions, 2021, v. 11, n. 2, p. 58, doi. 10.22495/rgcv11i2p5
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- Article
SECTORS STOCK INDICES AGGREGATE CORRELATIONS AND EXPECTATIONS: EVIDENCE FROM THE GREEK STOCK MARKET.
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- Risk Governance & Control: Financial Markets & Institutions, 2021, v. 11, n. 2, p. 71, doi. 10.22495/rgcv11i2p6
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- Article