Underpricing in the Cryptocurrency World: Evidence from Initial Coin Offerings
来源期刊:Managerial FinanceDOI:10.1108/MF-06-2018-0281
Determinants of dividend policy: evidence from an emerging and developing market
来源期刊:Managerial FinanceDOI:10.1108/MF-09-2017-0331
The effect of dividend policy on share price volatility: an analysis of Mediterranean banks’ stocks
来源期刊:Managerial FinanceDOI:10.1108/MF-11-2017-0451
The interrelationship between liquidity creation and bank capital in Vietnamese banking
来源期刊:Managerial FinanceDOI:10.1108/MF-09-2017-0337
Cross-country evidence of Islamic portfolio diversification: are there opportunities in Saudi Arabia?
来源期刊:Managerial FinanceDOI:10.1108/MF-03-2018-0126
How to explain the liquidity risk by the dynamics of discretionary loan loss provisions and non-performing loans? The impact of the global crisis
来源期刊:Managerial FinanceDOI:10.1108/MF-12-2017-0520
The relationship between credit risk management and non-performing assets of commercial banks in India
来源期刊:Managerial FinanceDOI:10.1108/MF-06-2018-0259
The “sell in May” effect: an empirical investigation of globally listed private equity markets
来源期刊:Managerial FinanceDOI:10.1108/MF-07-2018-0322
Multiple banking relationships, agency costs and firm value: evidence from India
来源期刊:Managerial FinanceDOI:10.1108/mf-12-2018-0619
Stock market reaction to cash dividends: evidence from the Nigerian stock market
来源期刊:Managerial FinanceDOI:10.1108/MF-09-2017-0351
Return reversal effect in Shanghai A share market
来源期刊:Managerial FinanceDOI:10.1108/MF-04-2018-0140
Accruals Quality, Financial Constraints And Corporate Cash Holdings
来源期刊:Managerial FinanceDOI:10.1108/MF-12-2018-0621
Do market participants value earnings management? An analysis using the quantile regression method
来源期刊:Managerial FinanceDOI:10.1108/MF-02-2018-0087
Corporate social responsibility and financial stability: evidence from the Troubled Asset Relief Program
来源期刊:Managerial FinanceDOI:10.1108/MF-09-2018-0458
A five-year retrospective on an undergraduate SMIF program
来源期刊:Managerial FinanceDOI:10.1108/MF-08-2018-0386
The impact of gender and ethnic diversity on REIT operating performance
来源期刊:Managerial FinanceDOI:10.1108/MF-02-2018-0064
International risk spillover in the sovereign credit markets: An empirical analysis
来源期刊:Managerial FinanceDOI:10.1108/MF-11-2017-0490
International evidence on the determinants of trade credit provision
来源期刊:Managerial FinanceDOI:10.1108/MF-07-2018-0295
Auditors’ quality, footnotes, and earnings persistence
来源期刊:Managerial FinanceDOI:10.1108/MF-11-2018-0569
How does capital market respond to Certified Emission Reductions (CERs) announcements in India: An event study methodology
来源期刊:Managerial FinanceDOI:10.1108/mf-12-2018-0635
The performance of equity unit investment trusts
来源期刊:Managerial FinanceDOI:10.1108/MF-02-2018-0088
Does peer firm executive compensation affect earnings management
来源期刊:Managerial FinanceDOI:10.1108/MF-04-2018-0148
Business uncertainty and financial leverage: should the firm double up on risk?
来源期刊:Managerial FinanceDOI:10.1108/MF-10-2018-0491
Cross-impact of leverage and firm performance: developed vs frontier bank-based economies
来源期刊:Managerial FinanceDOI:10.1108/MF-09-2018-0435
Saving green while going green: The role of expenses in socially responsible equity mutual fund selection
来源期刊:Managerial FinanceDOI:10.1108/MF-03-2018-0095
Student Managed Funds – a panel discussion
来源期刊:Managerial FinanceDOI:10.1108/MF-08-2018-0406
Preparedness level of Indian public sector banks for implementation of Basel III: An empirical investigation
来源期刊:Managerial FinanceDOI:10.1108/mf-10-2017-0416
Do institutional investors have homogeneous influence on corporate social responsibility? Evidence from investor investment horizon
来源期刊:Managerial FinanceDOI:10.1108/mf-03-2019-0121
Does corporate governance affect dividend policy in India? Firm-level evidence from new indices
来源期刊:Managerial FinanceDOI:10.1108/MF-01-2019-0030
System and neural network analysis of intent to buy and willingness to pay insurance premium
来源期刊:Managerial FinanceDOI:10.1108/MF-04-2018-0156
Variation in the structure and administration of student-managed investment funds
来源期刊:Managerial FinanceDOI:10.1108/mf-06-2018-0252
Who predicts dollar-rupee volatility better? A tale of two options markets
来源期刊:Managerial FinanceDOI:10.1108/mf-09-2018-0416
Pre-IPO Cash Flow Volatility and Aftermarket Valuation
来源期刊:Managerial FinanceDOI:10.1108/MF-06-2019-0288
The effect of managerial horizon on cash holdings
来源期刊:Managerial FinanceDOI:10.1108/MF-09-2018-0442
Individual investors and the Monday effect
来源期刊:Managerial FinanceDOI:10.1108/mf-03-2019-0112
Earnings management and performance of management buyouts
来源期刊:Managerial FinanceDOI:10.1108/MF-01-2018-0007
The change in investor reaction to 10-K filings after Regulation Full Disclosure and the Sarbanes–Oxley Act
来源期刊:Managerial FinanceDOI:10.1108/mf-02-2019-0100
The impact of post-trade transparency on price efficiency and price discovery: Evidence from the Taiwan Stock Exchange
来源期刊:Managerial FinanceDOI:10.1108/MF-05-2018-0217
Confessions of a faculty advisor: Development of a student managed investment fund program under constraints
来源期刊:Managerial FinanceDOI:10.1108/MF-08-2018-0390
The effect of share ownership structure on ex-dividend day stock price behavior
来源期刊:Managerial FinanceDOI:10.1108/MF-10-2017-0433
Proximity to broad bond rating change and employee performance
来源期刊:Managerial FinanceDOI:10.1108/MF-08-2018-0368
Student investment groups: enhancing the liberal arts experience
来源期刊:Managerial FinanceDOI:10.1108/MF-08-2018-0413
West Point: teaching leadership and risk management through investing
来源期刊:Managerial FinanceDOI:10.1108/MF-07-2018-0335
Characteristics of New Zealand dividend omissions and resumptions
来源期刊:Managerial FinanceDOI:10.1108/mf-01-2019-0039
Pricing three cases of performance fees using options methodology
来源期刊:Managerial FinanceDOI:10.1108/mf-03-2019-0143
A closer look at politically connected corporations: evidence from Citizens United
来源期刊:Managerial FinanceDOI:10.1108/MF-05-2017-0147
Pension discount rate and investor sentiment
来源期刊:Managerial FinanceDOI:10.1108/MF-05-2018-0209
A comparative analysis of banking institutions: examining quiet life
来源期刊:Managerial FinanceDOI:10.1108/MF-09-2018-0415
The transaction-relationship paradox
来源期刊:Managerial FinanceDOI:10.1108/mf-01-2019-0024
Analyzing seasonal anomalies for Israel: evidence from pre- and post-global financial crisis
来源期刊:Managerial FinanceDOI:10.1108/mf-06-2019-0316