Results 121-130 of 254.
|2009 ||A two-tiered approach to the valuation of investment projects adjusted for governance risk||Apreda, Rodolfo
|2002 ||The Governance Slack Model: A cash flow approach for the budgeting and accountability of some corporate governance issues||Apreda, Rodolfo
|2006 ||Tailoring compliance risk and the compliance function for non-financial organizations: A step further and beyond the Basel's proposels for banks||Apreda, Rodolfo
|2007 ||How the logic and pragmatics of sinking funds play a part in corporate governance||Apreda, Rodolfo
|2013 ||The governance-risk scoreboard||Apreda, Rodolfo
|2011 ||An information economics perspective on main bank relationships and firm R&D||Hoewer, Daniel / Schmidt, Tobias / Sofka, Wolfgang
|2007 ||Financial frictions, investment and Tobin's q||Lorenzoni, Guido / Walentin, Karl
|2012 ||Corporate Social Responsibility, Negative Externalities, and Financial Risk: The Case of Climate Change||Busch, Timo / Lehmann, Nils / Hoffmann, Volker H.
|2004 ||Acquisitions as a Real Options Bidding Game||Smit, Han T.J. / van den Berg, Ward A. / Maeseneire, Wouter De
|2015 ||Non-mandatory say on pay votes and AGM participation: Evidence from Germany||Powell, Daniel / Rapp, Marc Steffen