Suche im EconStor Index

Filter hinzufügen:

Benutzen Sie Filter um Ihre Ergebnisse zu verfeinern.


Ergebnisse 191-200 von 1563.
ErscheinungsjahrTitelAutor:innen
2019Risk and returns of different foreign ownership portfolios: Evidence from Vietnam stock marketAnh Phong Nguyen; Hoang Anh Nguyen; Thi Hong Minh Ho; Phu Thanh Ngo
2020Macroeconomic surprises and stock market responses in view of global linkage: A study of Indian stock marketPal, Santanu; Garg, Ajay K.
2018Optimal regulation of banking system' s advanced credit risk management by unified computational representation of business pro- cesses across the entire banking systemAlrabiah, Abdulrahman
2020Asymmetrical relationship between oil prices, gold prices, exchange rate, and stock prices during global financial crisis 2008: Evidence from PakistanSheikh, Umaid A.; Asad, Muzaffar; Ahmed, Zahid; Mukhtar, Umer
2021Do government policies drive economic growth convergence? Evidence from East Java, IndonesiaSolihin, Achmad; Wardana, Wahyu Wisnu; Fiddin, Erfan; Sukartini, Ni Made
2021The predictive performance of liquidity riskMa, Xiuli; Zhang, Xindong
2014The nonlinear impact of government consumption expenditure on economic growth: Evidence from low and low-middle income countriesHajamini, Mehdi; Falahi, Mohammad Ali
2017Predicting movement of stock of "Y" using Sutte IndicatorAhmar, Ansari Saleh; Rahman, Abdul; Arifin, Andi Nurani Mangkawani; Ahmar, Alfatih Abqary
2018Reducing poverty through fiscal decentralization in Ghana and beyond: A reviewAgyemang-Duah, Williams; Gbedoho, Evans Kafui; Peprah, Prince; Arthur, Francis; Sobeng, Augustus Kweku; Okyere, Joshua; Dokbila, Jennifer Mengba
2020Ownership concentration, firm life cycle, and leverage: Evidence from Italian family firmsMbanyele, William