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Managerial Finance
Click on article title to view & purchase. Articles are sorted by their publication date in reverse chronological order.
Total result: 198 articles |
Page 2 of 3
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Manager characteristics and real estate mutual fund returns, risk and ... December 01, 2006
REIT capital structure: is it market imposed? December 01, 2006
The strong building: a case study in direct investment. December 01, 2006
Mean-variance analysis with REITs in mixed asset portfolios: the retur... December 01, 2006
Real estate investing. December 01, 2006
Capital expenditures and corporate earnings: evidence from the Taiwan ... November 01, 2006
Stock bonus compensation and firm performance in Taiwan. November 01, 2006
Taiwan multi-factor model construction: equity market neutral strategi... November 01, 2006
A stochastic process approach in setting the appropriate margin level ... November 01, 2006
Investment principles and strategies of faith-based funds. October 01, 2006
Investing in stocks: three models of faith integration. October 01, 2006
The impact of corruption on financial markets. October 01, 2006
Analyzing and managing risks--on the importance of gender differences ... September 01, 2006
Credit risk management: the use of credit derivatives by non-financial... September 01, 2006
Risk, capital requirements, and the asset structure of companies. September 01, 2006
An empirical investigation of the visible effects of corporate governa... August 01, 2006
A free cash flow version of the cash flow statement: a note. August 01, 2006
Logit models for analysing and forecasting the performance of industri... August 01, 2006
Disclosure requirements and voluntarily reporting of cash flow informa... August 01, 2006
Cash flow estimation practices in Mediterranean countries. August 01, 2006
The cash flow statement: implications for the use of the direct or the... August 01, 2006
An analysis of strategic issues in institutionalizing a financial syst... July 01, 2006
Financial liberalization and price rigidity in the Nigerian banking sy... July 01, 2006
Dividend smoothing vs dividend signalling: evidence from UK firms. June 01, 2006
Payment history, past returns and the performance of UK zero dividend ... June 01, 2006
A temporal analysis of non-executive director appointments to UN firms... June 01, 2006
Optimisation of FTSE 100 tracker funds: a comparison of genetic algori... June 01, 2006
The valuation effects of stock splits in NASDAQ. May 01, 2006
Stock market crises and portfolio diversification in Central and Easte... May 01, 2006
Stock returns behavior during holiday periods: evidence from six count... May 01, 2006
The early performance of American depository receipts listed on the Ne... May 01, 2006
Fund management, intellectual capital, intangibles and private disclos... April 01, 2006
Optimal asset management for pension funds. April 01, 2006
Credit risk management: a survey of practices. March 01, 2006
A time-varying beta approach to measuring New Zealand's country risk. March 01, 2006
Long-term interdependence between hedge fund strategy and stock market... December 01, 2005
Risk and return properties of portfolios based on directional forecast... August 01, 2005
Executive compensation contracts and voluntary disclosure to security ... July 01, 2005
On the valuation and incentive effects of executive cash bonus contrac... July 01, 2005
Stock option plans in EuroStoxx 50 companies. July 01, 2005
Valuation of investment and opportunity-to-invest in power generation ... June 01, 2005
Efficiency of the New York independent system operator market for tran... June 01, 2005
Should investments professors join the "Crowd". May 01, 2005
Managerial "irrationality" in financial decision making. April 01, 2005
Trustworthiness of investment manager. April 01, 2005
A theoretical model of a bank's motives for becoming a multinational b... January 01, 2005
Active international mutual fund management; can managers beat the ind... January 01, 2005
Corporate control and earnings management: evidence from MBOs. November 01, 2004
Measuring risk in the Greek bond market an alternative approach. November 01, 2004
Corporate control and earnings management: evidence from MBOs. November 01, 2004
Measuring risk in the Greek bond market an alternative approach. November 01, 2004
Corporate control and earnings management: evidence from MBOs. November 01, 2004
Measuring risk in the Greek bond market an alternative approach. November 01, 2004
Corporate control and earnings management: evidence from MBOs. November 01, 2004
Measuring risk in the Greek bond market an alternative approach. November 01, 2004
Corporate control and earnings management: evidence from MBOs. November 01, 2004
Measuring risk in the Greek bond market an alternative approach. November 01, 2004
Corporate control and earnings management: evidence from MBOs. November 01, 2004
Measuring risk in the Greek bond market an alternative approach. November 01, 2004
Corporate control and earnings management: evidence from MBOs. November 01, 2004
Measuring risk in the Greek bond market an alternative approach. November 01, 2004
Corporate control and earnings management: evidence from MBOs. November 01, 2004
Measuring risk in the Greek bond market an alternative approach. November 01, 2004
Corporate control and earnings management: evidence from MBOs. November 01, 2004
Measuring risk in the Greek bond market an alternative approach. November 01, 2004
Corporate control and earnings management: evidence from MBOs. November 01, 2004
Measuring risk in the Greek bond market an alternative approach. November 01, 2004
Corporate control and earnings management: evidence from MBOs. November 01, 2004
Measuring risk in the Greek bond market an alternative approach. November 01, 2004
A critical view on corporate governance and its performance measuremen... August 01, 2004
Enabling integration in complex contexts: the role of process based pe... August 01, 2004
Performance measurement in governmental organizations: a contingent ap... August 01, 2004
The association between benchmarking and organizational performance: a... August 01, 2004
Some lessons from price bubbles and market crashes in Southeast Asia. July 01, 2004
Analyst earnings forecast trends in Pacific Rim countries. July 01, 2004
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