Search

Add filters:

Use filters to refine the search results.


Results 151-160 of 1959.
Year of PublicationTitleAuthor(s)
2022Testing stock market efficiency from spillover effect of Panama leaksNasir, Adeel; Gherghina, Stefan Cristian; Mata, Mário Nuno; Khan, Kanwal Iqbal; Mata, Pedro Neves; Ferrão, Joaquim António
2021Stock split rule changes and stock liquidity: Evidence from Bursa MalaysiaTabibian, S. Amir; Zhang, Zhaoyong; Abdollah Ah Mand
2021The behavioural aspects of financial literacyGerth, Florian; Lopez, Katia; Reddy, Krishna; Ramiah, Vikash; Wallace, Damien; Muschert, Glenn W.; Frino, Alex; Jooste, Leonie
2020Do profitable banks make a positive contribution to the economy?Kumar, Vijay; Bird, Ron
2021Financing growth through remittances and foreign direct investment: Evidences from Balkan countriesJushi, Esmeralda; Hysa, Eglantina; Cela, Arjona; Panait, Mirela; Voica, Marian Cătălin
2021The optimal spending rate versus the expected real return of a sovereign wealth fundAase, Knut K.; Bjerksund, Petter
2021Accounting policies, institutional factors and firm performance: Qualitative insights in a developing countryBadulescu, Daniel; Akhtar, Muhammad Nouman; Ahmad, Mumtaz; Abbas Soharwardi, Mariam
2022Attitude towards online shopping during pandemics: Do gender, social factors and platform quality matter?Mallah Boustani, Nada; Sayegh, May Merhej; Boustany, Zaher
2019Capital markets integration and cointegration: Testing for the correct specification of stock market indicesAgoraki, Maria-Eleni K.; Georgoutsos, Demetris A.; Kouretas, Georgios P.
2021The impact of the introduction of uniform European collective action clauses on European government bonds as a regulatory result of the European sovereign debt crisisLayher, Nicoletta; Samunderu, Eyden