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21 documents matched the search for the 2006-07-02 issue of the NEP report on Finance (nep-fin).
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The International Monetary Fund's Balance-Sheet and Credit Risk,
Ryan Felushko and Eric Santor, from Bank of Canada (2006)
Keywords: International topics
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A two-part fractional regression model for the financial leverage decisions of micro, small, medium and large firms,
Joaquim Ramalho and Jacinto Silva, from University of Évora, Department of Economics (Portugal) (2006)
Keywords: capital structure, financial leverage, zero leverage, micro firms, SMEs, fractional data, two-part model
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When is FDI a Capital Flow?,
Dalia Marin and Monika Schnitzer, from University of Munich, Department of Economics (2006)
Keywords: Multinational firms; Firm specific capital costs; Internal capital markets; international capital flows
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Business Groups in Emerging Markets - Financial Control and Sequential Investment,
Christa Hainz, from Free University of Berlin, Humboldt University of Berlin, University of Bonn, University of Mannheim, University of Munich (2006)
Keywords: Business groups; self-enforcing contract; institutions; internal capital market
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Un modelo de riesgo de credito basado en opciones compuestas con barrera. Aplicacion al mercado continuo espanol,
Maria Carmen Badia Batlle, M. Mercedes Galisteo Rodriguez and M. Teresa Preixens Benedicto, from Universitat de Barcelona. Espai de Recerca en Economia (2006) Downloads

The Inattentive Participant: Portfolio Trading Behavior in 401(k) Plans,
Olivia Mitchell, Gary R. Mottola, Stephen P. Utkus and Takeshi Yamaguchi, from University of Michigan, Michigan Retirement Research Center (2006) Downloads

The Microfinance Collateralized Debt Obligation: a Modern Robin Hood?,
Hans Byström, from Lund University, Department of Economics (2006)
Keywords: commercial microfinance; structured finance; securitization; collateralized debt obligation; MiCDO

Dynamic asset allocation and latent variables,
Carsten Sørensen and Anders Bjerre Trolle, from Copenhagen Business School, Department of Finance (2006)
Keywords: Portfolio choice; predictability; VAR; unobserved state-variables; hedging demands
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On the Pricing of Step-Up Bonds in the European Telecom Sector,
David Lando and Allan Mortensen, from Copenhagen Business School, Department of Finance (2004)
Keywords: defaultable bonds; step-up coupons; rating-based models
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On a class of adjustable rate mortgage loans subject to a strict balance principle,
Bjarne Astrup Jensen, from Copenhagen Business School, Department of Finance (2005)
Keywords: Adjustable rate mortgages; balance principle; patent; yield curve riding
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The owner-occupiers’ capital structure during a house price boom,
Jens Lunde, from Copenhagen Business School, Department of Finance (2006)
Keywords: house prices; housing wealth; real estate wealth; housing debt; mortgage debt; personal wealth; personal finance; loan-to-value; debt-to-income; interest expenditures; interest-to-income; financial stability
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Taxable Cash Dividends,
Ken L. Bechman and Johannes Raaballe, from Copenhagen Business School, Department of Finance (2006)
Keywords: Dividends; Share Repurchases; Signaling; Single-Crossing Property; Money Burning
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Is Online Trading Gambling with Peanuts?,
Anders Anderson, from Sonderforschungsbereich 504, Universität Mannheim (2005) Downloads

Cultura Financeira dos Investidores e Diversificação das Carteiras,
Victor Mendes and Margarida Abreu, from ISEG - Lisbon School of Economics and Management, Department of Economics, Universidade de Lisboa (2006)
Keywords: Financial Literacy; Portfolio Diversification; Financial Behavior; Portugal.
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THE COST STRUCTURE OF MICROFINANCE INSTITUTIONS IN EASTERN EUROPE AND CENTRAL ASIA,
Valentina Hartarska, Steven B Caudill and Daniel Gropper, from William Davidson Institute at the University of Michigan (2006)
Keywords: Eastern Europe, banking, microfinance, efficiency
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Foreign Exchange Risk Premium Determinants: Case of Armenia,
Tigran Poghosyan and Evžen Kočenda, from William Davidson Institute at the University of Michigan (2006)
Keywords: “forward discount” puzzle, exchange rate risk, affine term structure models, foreign and domestic deposits, transition and emerging markets, Armenia
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Evaluation of Mass Privatization in Bulgaria,
Jeffrey Miller, from William Davidson Institute at the University of Michigan (2006)
Keywords: Bulgaria, mass privatization, dilution
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Corporate Governance and Firm Performance in Ukraine,
Vitaliy Zheka, from Centre for Economic Reform and Transformation, Heriot Watt University (2006)
Keywords: Ukraine, corporate governance, firms
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Euro Stoxx 50: 1997-2005. Shareholder value creation in Europe,
Pablo Fernandez, Jose M. Carabias, Julio Aznarez and Oscar E. Carbonell, from IESE Business School (2006)
Keywords: shareholder value creation; created shareholder value; shareholder value added; shareholder return; required return to equity;
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The correct value of tax shields: An analysis of 23 theories,
Pablo Fernandez, from IESE Business School (2006)
Keywords: value tax shields; valuation theories; valuation methods;
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Creación de valor para los accionistas de Telefónica,
Pablo Fernandez and Jose M. Carabias, from IESE Business School (2006)
Keywords: creación valor para accionistas; aumento valor para accionistas; rentabilidad para accionistas;
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