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  2. 1 FINANCIAL MARKET HISTORY WORKSHOP Cambridge Judge Business School…

    https://www.jbs.cam.ac.uk/wp-content/uploads/2020/08/financialmarkethistory2015-programme.pdf
    9 Jul 2023: of Financial Economics, Journal of Portfolio Management, Harvard Business Review and other journals and books. ... He has published in journals such as the Journal of Financial Economics, American Economic Review (Papers and Proceedings), Management
  3. Document 1

    https://www.jbs.cam.ac.uk/wp-content/uploads/2023/12/eprg-wp1018.pdf
    6 Dec 2023: This paper builds on the analysis by Steer et al. (2010), characterizing the technology and economics of a first-of-a-kind ADSR demonstratorii. ... Table 1 shows additional financial assumptions associated with the construction and operation of the
  4. WP 430 Ajit Paper

    https://www.jbs.cam.ac.uk/wp-content/uploads/2023/05/cbrwp430.pdf
    9 Jul 2023: conventional economics is provided by the work of McKinnon (1973) and Shaw (1973) which has played a major role in financial liberalisation in developing countries since the 1970s. ... of modern economics, namely the so called Modigliani and Miller (MM)
  5. WP363_ Cosh Hughes final1

    https://www.jbs.cam.ac.uk/wp-content/uploads/2023/05/cbrwp363.pdf
    9 Jul 2023: Perspective’, Applied Financial Economics, 15: 679–90. Alexandridis, G. and A. Antoniou (2006) ‘Valuation Effects of Short Sale. ... Financial Economics, 14: 337–49. Barnes, P. (1999) ‘Predicting UK Takeover Targets: Some Methodological.
  6. IS THERE A RELATIONSHIP BETWEEN SHAREHOLDER PROTECTION AND STOCK ...

    https://www.jbs.cam.ac.uk/wp-content/uploads/2023/05/cbrwp492.pdf
    9 Jul 2023: of Law and Economics in Bologna, and the WINIR Symposium on Property Rights in Bristol, and in particular John Armour, Dominic Chai, Clifford Holderness and Holger Spamann, as well as two ... Figure 3 presents the trends in each of these financial
  7. Electronic copy available at: http://ssrn.com/abstract=2516974 Swiss…

    https://api.newton.ac.uk/website/v0/events/preprints/NI15001
    Minca. Stress testing the resilience of financial networks.International Journal of Theoretical and Applied Finance, 15(1), 2012. ... Toappear in Journal of Financial Economics, 2014. [15] D. Duffie and H.
  8. FINANCIAL LIBERALIZATION AND POVERTY: CHANNELS OF INFLUENCE

    https://www.landecon.cam.ac.uk/sites/default/files/2023-03/wp07-09.pdf
    19 Oct 2023: What does theory tell us regarding the role of financial liberalization in the elimination of poverty? ... The authors suggest that the “measure of financial development is not closely tied to theory.
  9. PDF - Long term spread option valuation and hedging - working paper

    https://www.jbs.cam.ac.uk/wp-content/uploads/2020/08/wp0625.pdf
    9 Jul 2023: Ke Tang Centre for Financial Research Judge Business School University of Cambridge kt284@cam.ac.uk. ... Centre for Financial Research, Judge Business School, University of Cambridge,. Trumpington Street, Cambridge CB2 1AG. &.
  10. Enhancing real estate investment trust return forecasts via machine…

    https://www.jbs.cam.ac.uk/2024/enhancing-real-estate-investment-trust-return-forecasts-via-machine-learning/
    Article references. Allen, D., Lizieri, C. and Satchell, S. (2019) “In defense of portfolio optimization: what if we can forecast?” Financial Analysts Journal, 75(3): 20-38. ... Leippold, M., Wang, Q. and Zhou, W. (2022) “Machine learning in the
  11. WP387_June_sarkar-singh

    https://www.jbs.cam.ac.uk/wp-content/uploads/2023/05/cbrwp387.pdf
    9 Jul 2023: Djankov, S., La Porta, R., Lopez-de-Silanes, F. and Shleifer, A.2008. The law and economics of self-dealing, Journal of Financial Economics, vol.88, no.3, 430-465. ... Rajan, R. and Zingales, L. 2003. The great reversals: the politics of financial
  12. Chambers et al Sept 2016

    https://www.econsoc.hist.cam.ac.uk/docs/CWPESH_number_25_Sept_2016.pdf
    20 Jul 2021: 10. tobacco) were also numerous. Service sector (financial and non-financial) IPOs were. ... underlying the functioning of a flourishing financial system (La Porta et al., 2000: 4).
  13. Stability analysis of financial contagion due to overlapping…

    https://www.jbs.cam.ac.uk/wp-content/uploads/2020/08/140122-stability.pdf
    9 Jul 2023: Carletti, “Asset commonality, debt maturity and systemicrisk,” Journal of Financial Economics, vol. ... Walden, “Diversification disasters,” Journal of Finan-cial Economics, vol. 99, pp. 333–348, 2011.
  14. CV - Oguzhan Karakas

    https://www.jbs.cam.ac.uk/wp-content/uploads/2020/08/karakaso-cv.pdf
    9 Jul 2023: Hotchkiss and P. Feldhütter), Journal of Financial Economics, July 2016, Volume 121, Issue 1, pages 1-27. ... Professional Services. Referee Review of Financial Studies (RFS), Journal of Financial and Quantitative Analysis (JFQA), Management Science (MS)
  15. September 2001

    https://www.jbs.cam.ac.uk/wp-content/uploads/2023/05/cbrwp258.pdf
    9 Jul 2023: The latter was further enhanced by the inclusion of corporate governance in the reform agenda of the New International Financial Architecture (NIFA). ... This theory emphasises the role of corporate financial choices in aligning the interests of
  16. Can members with heterogeneous preferences achieve their first-best…

    https://www.jbs.cam.ac.uk/2022/can-members-with-heterogeneous-preferences-achieve-their-first-best-within-a-group/
    The first-best outcome can be achieved by adopting financial policies that maximise the weighted average of investors’ life-time utility. ... References. Chava, S. and Purnanandam, A. (2010) “CEOs versus CFOs: incentives and corporate policies.”
  17. WPM$75DC

    https://www.jbs.cam.ac.uk/wp-content/uploads/2023/05/cbrwp288.pdf
    9 Jul 2023: 288. By. Jack Glen IFC. and. Ajit Singh. University of Cambridge Faculty of Economics and Politics. ... The controlling shareholders were able to maintain control with the help of financial institutions, many of which were directly under government
  18. WP377_singh _stockmarket_

    https://www.jbs.cam.ac.uk/wp-content/uploads/2023/05/cbrwp377.pdf
    9 Jul 2023: A related set of financial studies – the so-called ‘events studies’ – suggest, however, that in US take-overs the acquiring firms suffer a sizeable decline in share prices in the period ... In a closely related but more general sense, the
  19. VARIETIES OF CREDITOR PROTECTION: INSOLVENCY LAW REFORM AND CREDIT ...

    https://www.jbs.cam.ac.uk/wp-content/uploads/2023/05/cbrwp473.pdf
    9 Jul 2023: this legal support has led to an increased level of financial development (La Porta et al., 2008). ... Periodic (mostly quinquennial) averages of these indicators of financial development are plotted in Figures 9 and 10.
  20. wp268

    https://www.jbs.cam.ac.uk/wp-content/uploads/2023/05/cbrwp268.pdf
    9 Jul 2023: of financial intermediaries. ... To illustrate, consider the position of owners of financial assets in the UK prior to World War I.
  21. Co-operate governance, competition the new international financial

    https://www.jbs.cam.ac.uk/wp-content/uploads/2023/05/cbrwp250.pdf
    9 Jul 2023: 250. by. Ajit Singh (Professor of Economics). Queens' College University of Cambridge, CB3 9ET. ... 2. other Asian economies. Whereas previous crises had struck economies with a history of financial instability and low growth, such as Mexico in 1995, the

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