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The Role of Expectations in Value and Glamour Stock Returns

Journal of Behavioral Finance, Volume 12, Issue 2, Page 98-115, April-June 2011.

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Barron's Red Flags: Do They Actually Work?

Journal of Behavioral Finance, Volume 12, Issue 2, Page 90-97, April-June 2011.

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Individualsâ Affect-Based Motivations to Invest in Stocks: Beyond...

Journal of Behavioral Finance, Volume 12, Issue 2, Page 78-89, April-June 2011.

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Fair Value (U.S. GAAP) and Entity-Specific (IFRS) Measurements for...

Journal of Behavioral Finance, Volume 12, Issue 2, Page 68-77, April-June 2011.

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Are Investors Rational and Does it Matter? Determining the Expected Utility...

Journal of Behavioral Finance, Volume 12, Issue 2, Page 53-67, April-June 2011.

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Sovereign rating changes and realized volatility in Asian foreign exchange...

Applied Financial Economics, Volume 21, Issue 13, Page 997-1003, 01Jul2011.

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Effect of regulation FD on disclosures of information by firms

Applied Financial Economics, Volume 21, Issue 13, Page 979-996, 01Jul2011.

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The impact of stock spams on volatility

Applied Financial Economics, Volume 21, Issue 13, Page 969-977, 01Jul2011.

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Value relevance of R&D in the UK after IFRS mandatory implementation

Applied Financial Economics, Volume 21, Issue 13, Page 957-967, 01Jul2011.

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Strategic risk aversion

Applied Financial Economics, Volume 21, Issue 13, Page 949-956, 01Jul2011.

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Informal collateral and default risk: do âGrameen-likeâ banks...

Applied Financial Economics, Volume 21, Issue 13, Page 931-947, 01Jul2011.

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Comparison of the âturn-of-the-monthâ and lunar new year return...

Applied Financial Economics, Volume 21, Issue 13, Page 917-929, 01Jul2011.

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Estimating minimum and maximum fares of leased transport services

Applied Financial Economics, Volume 0, Issue 0, Page 1-4, Ahead of Print.

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Intellectual capital and analyst forecast: evidence from the high-tech...

Applied Financial Economics, Volume 0, Issue 0, Page 1-9, Ahead of Print.

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Time series analysis of the relationships among (macro) economic variables,...

Applied Financial Economics, Volume 0, Issue 0, Page 1-18, Ahead of Print.

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Analysing scale and scope specialization efficiencies of US agricultural and...

Applied Financial Economics, Volume 0, Issue 0, Page 1-14, Ahead of Print.

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Estimation of one-, two- and three-factor generalized Vasicek term structure...

Applied Financial Economics, Volume 0, Issue 0, Page 1-10, Ahead of Print.

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The long-run relation among financial development, technology and GDP: a...

Applied Financial Economics, Volume 0, Issue 0, Page 1-14, Ahead of Print.

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Regime switching fractional cointegration and futures hedging

Applied Financial Economics, Volume 0, Issue 0, Page 1-13, Ahead of Print.

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Risk preference and trading motivation measurement due to moneyness: evidence...

Applied Financial Economics, Volume 0, Issue 0, Page 1-9, Ahead of Print.

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