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28 articles with title/keywords/abstract containing Standard and Poors

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Organizational and institutional determinants of B2C adoption under shifting environments

Authors: Jeyaraj, Anand; Balser, Deborah B; Chowa, Charles; Griggs, Gary M

Source: Journal of Information Technology, Volume 24, Number 3, September 2009 , pp. 219-230(12)

Publisher: Palgrave Macmillan

Time-varying asset allocation across hedge fund indices

Authors: Switzer, Lorne N; Omelchak, Andrey

Source: Journal of Derivatives & Hedge Funds, Volume 15, Number 1, May 2009 , pp. 70-85(16)

Publisher: Palgrave Macmillan

Integrating volatility factors in the analysis of the hedge fund alpha puzzle

Authors: Racicot, François-Éric; Théoret, Raymond

Source: Journal of Asset Management, Volume 10, Number 1, April 2009 , pp. 37-62(26)

Publisher: Palgrave Macmillan

The impact of war and terrorism on sovereign risk in the Middle East

Authors: Haddad, Mahmoud; Hakim, Sam

Source: Journal of Derivatives & Hedge Funds, Volume 14, Numbers 3-4, February 2009 , pp. 237-250(14)

Publisher: Palgrave Macmillan

Hedge ratio estimation and hedging effectiveness: the case of the S&P 500 stock index futures contract

Authors: Kenourgios, Dimitris; Samitas, Aristeidis; Drosos, Panagiotis

Source: International Journal of Risk Assessment and Management, Volume 9, Numbers 1-2, 7 July 2008 , pp. 121-134(14)

Publisher: Inderscience Publishers

A rating model simulation for risk analysis

Author: Falavigna, Greta

Source: International Journal of Business Performance Management, Volume 10, Numbers 2-3, 11 January 2008 , pp. 269-299(31)

Publisher: Inderscience Publishers

Corporate Governance in ASEAN Financial Corporations: reality or illusion?

Authors: Chuanrommanee, Wiparat; Swierczek, Fredric William

Source: Corporate Governance, Volume 15, Number 2, March 2007 , pp. 272-283(12)

Publisher: Blackwell Publishing

The Effect of Ethical Fund Portfolio Inclusion on Executive Compensation

Author: Brander, James

Source: Journal of Business Ethics, Volume 69, Number 4, December 2006 , pp. 317-329(13)

Publisher: Springer

Transparency and Disclosure Scores and their Determinants in the Istanbul Stock Exchange

Authors: Aksu, Mine; Kosedag, Arman

Source: Corporate Governance, Volume 14, Number 4, July 2006 , pp. 277-296(20)

Publisher: Blackwell Publishing

Day-of-the-week effects in the pre-holiday returns of the Standard & Poor's 500 stock index

Authors: Stephen P. Keef; Melvin L. Roush

Source: Applied Financial Economics, Volume 15, Number 2, January 15, 2005 , pp. 107-119(13)

Publisher: Routledge, part of the Taylor & Francis Group

A discrete-time model of high-frequency stock returns

Author: Takaki Hayashi

Source: Quantitative Finance, Volume 4, Number 2, April 2004 , pp. 140-150(11)

Publisher: Routledge, part of the Taylor & Francis Group

Presidential Election Cycles and the Turn-of-the-Month Effect

Authors: Xiaofeng Zhao; Kartono Liano; William G. Hardin

Source: Social Science Quarterly, Volume 85, Number 4, December 2004 , pp. 958-973(16)

Publisher: Blackwell Publishing

Disclosure Practices of Foreign Companies Interacting with U.S. Markets

Authors: KHANNA T.; PALEPU K.G.; SRINIVASAN S.

Source: Journal of Accounting Research, Volume 42, Number 2, May 2004 , pp. 475-508(34)

Publisher: Blackwell Publishing

The national market impact of sovereign rating changes

Authors: Brooks R.; Faff R.W.; Hillier D.; Hillier J.

Source: Journal of Banking and Finance, Volume 28, Number 1, January 2004 , pp. 233-250(18)

Publisher: Elsevier

A DEA study of gender equity in executive compensation

Authors: Bowlin W.F.; Renner C.J.; Rives J.M.

Source: Journal of the Operational Research Society, Volume 54, Number 7, July 2003 , pp. 751-757(7)

Publisher: Palgrave Macmillan

What's My Line? A Comparison of Industry Classification Schemes for Capital Market Research

Authors: Bhojraj S.; Lee C.M.C.; Oler D.K.

Source: Journal of Accounting Research, Volume 41, Number 5, December 2003 , pp. 745-774(30)

Publisher: Blackwell Publishing

Modelling the linkages between US and Latin American stock markets

Authors: Fernández-Serrano J.L.; Sosvilla-Rivero S.

Source: Applied Economics, Volume 35, Number 12, 12 August 2003 , pp. 1423-1434(12)

Publisher: Routledge, part of the Taylor & Francis Group

The Determinants of Credit Ratings in the United Kingdom Insurance Industry

Authors: Adams M.; Burton B.; Hardwick P.

Source: Journal of Business Finance & Accounting, Volume 30, Numbers 3-4, April 2003 , pp. 539-572(34)

Publisher: Blackwell Publishing

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