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Leuz, Christian: Do Foreigners Invest Less in Poorly Governed Firms?. - Oxford: Oxford University Press, 2009 In: The Review of financial studies. (2009) S. 3245-3285, ISSN 0893-9454
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Faccio, Mara: Large Shareholder Diversification and Corporate Risk-Taking, 2011 In: The Review of financial studies. (2011) S. 3601-3641, ISSN 0893-9454
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Whitelaw, Robert F.: Stock Market Risk and Return: An Equilibrium Approach, 2000 In: The Review of financial studies. (2000) S. 521-547, ISSN 0893-9454
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Foucault, Thierry: Cross-Listing, Investment Sensitivity to Stock Price, and the Learning Hypothesis, 2012 In: The Review of financial studies. (2012) S. 3305-3350, ISSN 0893-9454
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Ben-David, Itzhak: Hedge Fund Stock Trading in the Financial Crisis of 2007-2009. - Oxford: Oxford University Press, 2012 In: The Review of financial studies. (2012) S. 1-54, ISSN 0893-9454
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Loughran, Tim: Why Don't Issuers Get Upset about Leaving Money on the Table in IPOs?. - Oxford: Oxford University Press, 2002 In: The Review of financial studies. (2002) S. 413-443, ISSN 0893-9454
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Ozoguz, Arzu: Good Times or Bad Times? Investors' Uncertainty and Stock Returns, 2009 In: The Review of financial studies. (2009) S. 4377-4422, ISSN 0893-9454
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Choi, Darwin: Convertible Bond Arbitrageurs as Suppliers of Capital, 2010 In: The Review of financial studies. (2010) S. 2492-2522, ISSN 0893-9454
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Sunder, Jayanthi: Debtholder Responses to Shareholder Activism: Evidence from Hedge Fund Interventions, 2014 In: The Review of financial studies. (2014) S. 3318-3342, ISSN 0893-9454
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Gale, Douglas: Capital Structure, Investment, and Fire Sales, 2015 In: The Review of financial studies. (2015) S. 2502-2533, ISSN 0893-9454
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Duffie, Darrell: Modeling Term Structures of Defaultable Bonds, 1999 In: The Review of financial studies. (1999) S. 687-720, ISSN 0893-9454
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Cao, H. Henry: Sidelined Investors, Trading-Generated News, and Security Returns, 2002 In: The Review of financial studies. (2002) S. 615-648, ISSN 0893-9454
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Kroner, Kenneth F.: Modeling Asymmetric Comovements of Asset Returns, 1998 In: The Review of financial studies. (1998) S. 817-844, ISSN 0893-9454
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Aguerrevere, Felipe L.: Equilibrium Investment Strategies and Output Price Behavior: A Real-Options Approach, 2003 In: The Review of financial studies. (2003) S. 1239-1272, ISSN 0893-9454
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Chava, Sudheer: Do Shareholder Rights Affect the Cost of Bank Loans?, 2009 In: The Review of financial studies. (2009) S. 2973-3004, ISSN 0893-9454
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Naranjo, Andy: Government Intervention and Adverse Selection Costs in Foreign Exchange Markets, 2000 In: The Review of financial studies. (2000) S. 453-477, ISSN 0893-9454
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James, Christopher: When Do Banks Take Equity in Debt Restructurings?. - New York, NY: Published by Oxford University Press for the Society for Financial Studies, 1995 In: The Review of financial studies. (1995) S. 1209-1234, ISSN 0893-9454
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Fung, William: The Risk in Hedge Fund Strategies: Theory and Evidence from Trend Followers, 2001 In: The Review of financial studies. (2001) S. 313-341, ISSN 0893-9454
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Kato, Kiyoshi: The ex-dividend-day behavior of stock prices: the case of Japan. - New York, NY: Published by Oxford University Press for the Society for Financial Studies, 1995 In: The Review of financial studies. (1995) S. 817-847, ISSN 0893-9454
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Bessembinder, Hendrik: Systematic Risk, Hedging Pressure, and Risk Premiums in Futures Markets. - New York, NY: Published by Oxford University Press for the Society for Financial Studies, 1992 In: The Review of financial studies. (1992) S. 637-667, ISSN 0893-9454
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