EconStor >

Search Results

 
for  

Results 131-140 of 405.


Item hits:

DateTitle Authors
2001 Too much, too little, or too volatile? : International capital flows to developing countries in the 1990sNunnenkamp, Peter
2000 Investment opportunities in Central and Eastern European equity markets: an econometric examination of the risk-return relationships for western investorsSchröder, Michael
2011 Solidarität und Wettbewerb in der Europäischen Union in Zeiten der Finanz- und VerschuldungskriseEger, Thomas
2010 Investor protection and foreign stakeholdersGiofré, Maela
2010 Stock market integration between three CEECs, Russia and the UKCaporale, Guglielmo Maria / Spagnolo, Nicola
2010 Volatility transmission in emerging European foreign exchange marketsBubák, Vít / Kocenda, Evézen / Zikes, Filip
2005 Why are IPOs underpriced? Evidence from Japan's hybrid auction-method offeringsKerins, Frank / Kutsuna, Kenji / Smith, Richard L.
2009 Macroeconomic imbalances in the United States and their impact on the international financial systemPerelstein, Julia S.
2007 Spill-over effects of monetary policy: a progress report on interest rate convergence in EuropeFladung, Michael
2006 Does trade openness increase firm-level volatility?Strotmann, Harald / Döpke, Jörg / Buch, Claudia M.

Back 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23 Next