Search

Add filters:

Use filters to refine the search results.


Results 971-980 of 1959.
Year of PublicationTitleAuthor(s)
2019Are CDS spreads sensitive to the term structure of the yield curve? A sector-wise analysis under various market conditionsAman, Asia
2021The regime-switching behaviour of exchange rates and frontier stock market prices in sub-Saharan AfricaKorley, Maud; Giouvris, Evangelos
2021Comparing CEO compensation effects of public and private acquisitionsBrander, James A.; Egan, Edward J.; Endl, Sophie
2023Spot-futures price adjustments in the Nikkei 225: linear or smooth transition? Financial centre leadership or home bias?Qin, Jieye; Green, Christopher J.; Sirichand, Kavita
2020Clustering of extremes in financial returns: A study of developed and emerging marketsAlokley, Sara Ali; Albarrak, Mansour Saleh
2020A general family of autoregressive conditional duration models applied to high-frequency financial dataCunha, Danúbia R.; Vila, Roberto; Saulo, Helton; Fernandez, Rodrigo Nobre
2021Structural failures risk analysis as a tool supporting corporate responsibilityCzajkowska, Agnieszka; Ingaldi, Manuela
2021Analysis of Australia's fiscal vulnerability to crisisRajaguru, Gulasekaran; Khan, Safdar Ullah; Ur Rahman, Habib
2022Optimal portfolio allocation between global stock indexes and safe haven assets: Gold versus the Swiss Franc : 1999-2021Tronzano, Marco
2020Strategic asset seeking and innovation performance: The role of innovation capabilities and host country institutionsMi, Lili; Yue, Xiao-Guang; Shao, Xue-Feng; Kang, Yuanfei; Liu, Yulong