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391篇 您的检索式:期刊名="International Review of Financial Analysis"
    题名 作者 年代 出处 被引量
1International acquisitions and shareholder wealth: Evidence from the Netherlands显示文摘Corhay A Rad T 2000International Reviews of Financial Analysis2000,9,:1
2Option pricing under stochastic volatility and tempered stable Levy jumps显示文摘Zaevski T S Kim Y S Fabozzi F J 2014International Review of Financial Analysis2014,31,1:1
3An investigation on the casual relationships between banking concentration and economic growth显示文摘 2007International Review of Financial Analysis2007,,:1
4Bankruptcy prediction Application of the Taylor's expansion in logistic regression 显示文摘Erkki K Laitinen Teija Laitinen 2000International Review of Financial Analysis2000,9,:1
5The finance process on a macroeconomic level from a flow perspective: A new interpretation of hoarding显示文摘Binswanger M 1997International Review of Financial Analysis1997,6,2:1
6Conditional VaR Using EVT--towards a Planned Margin Scheme显示文摘Bhattacharyya M Ritolia G 2008International Review of Financial Analysis2008,,2:1
7Bankruptcy prediction: application of the Taylor's expansion in logistic regression 显示文摘Laitinen E K Laitinen T 2001International Review of Financial Analysis2001,9,4:1
8Price limits in futures markets: effects on the price discovery process and volatility 显示文摘Yulia V Veld - Merkoulova 2003International Review of Financial Analysis2003,12,:1
9Measuring financial risks with copulas显示文摘Beatriz V M M Rafael M 2004International Review of Financial Analysis2004,13,1:1
10Bankruptcy Prediction : Application of the Taylor Expansion in Logistic Regression 显示文摘Laitinen 2000International Reviews of Financial Analysis2000,,:1
11Modeling Credit Spreads:An Application to the Sterling Eurobond Market显示文摘Katiuscia M 2002International Review of Financial Analysis2002,11,:1
12Causality and Cointegration of Stock Market among the United States, Japan, and the South China Growth Triangle 显示文摘Huang B N 2000International Review of Financial Analysis2000,9,:1
13Dynamic correlation between stock market and oil prices: The case of oil-importing and oil-exporting countries显示文摘George Filis Stavros Degiannakis Christos Floros 2011International Review of Financial Analysis2011,,3:1
14Global financial crisis and emerging stock market contagion: A multivariate FIAPARCH-DCC approach 显示文摘Dimitriou D Kenourgios D Simos T 2013International Review of Financial Analysis2013,30,:1
15The Relation- ship Between Product Market Competition And Capital Structure In Chinese Listed Firms显示文摘Yihnaz Guney Ling Li Richard Fairchild 2011International Review of Financial Analysis2011,20,:1
16Managerial Risk Incentives and Investment Related Agency Costs显示文摘Belghitar Y Clark E 2015International Review of Financial Analysis2015,38,:1
17Causality and cointegration of stock market among the United States,Japan,and the South China Growth Triangle显示文摘Huang B N Yang C W Hu J W 2000International Review of Financial Analysis2000,9,3:1
18Group Affiliation,Identity of Managers,and the Relation Between Managerial Ownership and Performance显示文摘Ming-Yuan Chen 2005International Review of Financial Analysis2005,14,5:1
19The time difference of a me&surement unit in the lead-lag relationship analysis of Korean financial market 显示文摘Seung 0 N Seung Y O Hyun K K Wu L 2008International Review of Financial Analysis2008,17,25:1
20Put -call parity and the informa- tional efficiency of the German DAX - index options market显示文摘Mittnik S Rieken S 2000International Review of Financial Analysis2000,9,3:1
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