|
|
EconStor >
Search Results
Results 111-120 of 405.
Item hits:
| Date | Title |
Authors |
| 2009 | How does European Integration affect the European Stock Markets? | Erdogan, Burcu |
| 2007 | The determinants of corporate risk in emerging markets: An option-adjusted spreads analysis | Cavallo, Eduardo / Valenzuela, Patricio |
| 2010 | An empirical analysis of the relationship between US monetary policy and international asset prices | Herwartz, Helmut / Morales-Arias, Leonardo |
| 2010 | Flexible and robust modelling of volatility comovements: a comparison of two multifractal models | Liu, Ruipeng / Lux, Thomas |
| 2010 | Cash Flow-Predictability: Still Going Strong | Schmeling, Maik / Rangvid, Jesper / Schrimpf, Andreas |
| 2012 | Análisis de la utilización de derivados financieros en las empresas no financieras mexicanas y su efecto en las cotizaciones bursátiles | Corona Dueñas, José Asunción |
| 2010 | Testing for Convergence in Stock Markets: A Non-linear Factor Approach | Erdogan, Burcu / Caporale, Guglielmo Maria / Kuzin, Vladimir N. |
| 2009 | Domestic or U.S. news: what drives Canadian financial markets? | Hayo, Bernd / Neuenkirch, Matthias |
| 2005 | International diversification at home and abroad | Cai, Fang / Warnock, Francis E. |
| 2009 | The impact of foreign macroeconomic news on financial markets in the Czech Republic, Hungary, and Poland | Büttner, David / Hayo, Bernd / Neuenkirch, Matthias |
Back
3
4
5
6
7
8
9
10
11
12
13
14
15
16
17
18
19
20
21
Next
|