47 results on '"Verhoeven, Peter"'
Search Results
2. The interplay of CSR, stakeholder interest management, capital budgeting, and firm performance
3. The impact of geopolitical risk, institutional governance and green finance on attaining net-zero carbon emission
4. Sustainable development: The impact of political risk, macroeconomic policy uncertainty and ethnic conflict
5. Do market-supporting institutions promote sustainable development? Evidence from developing economies
6. The impact of a dual banking system on macroeconomic efficiency
7. The gender gap in access to finance: Evidence from the COVID-19 pandemic
8. Informed trading in the CDS and OTM put option markets
9. Gender diversity: the corporate social responsibility and financial performance nexus
10. Clinical Practice Audit on the Management of Antineutrophil Cytoplasmic Antibody–Associated Vasculitis in the Netherlands
11. Asymmetric information and securitization design in Islamic capital markets
12. The value of certification in Islamic bond offerings
13. Political patronage and analysts’ forecast precision
14. Agency costs and corporate sukuk issuance
15. Fund governance and style drift
16. Analyst coverage and IPO management forecasts
17. Ethical Screening and Financial Performance: The Case of Islamic Equity Funds
18. Institutional investors, political connections and analyst following in Malaysia
19. Corporate ownership, corporate governance reform and timeliness of earnings: Malaysian evidence
20. Dividend initiations and long-run IPO performance
21. The accuracy of analysts' dividend forecasts around the world
22. Identifying relevant determinants of in-hospital time to diagnosis for ANCA-associated vasculitis patients.
23. Calendar Anomalies in Islamic Frontier Markets.
24. The Impact of the Malaysian Code on Corporate Governance: Compliance, Institutional Investors and Stock Performance
25. Share allocations and performance of KLSE second board IPOs
26. Information asymmetry surrounding earnings and dividend announcements: An intra-day analysis
27. Kelly Criterion for Optimal Credit Allocation.
28. Determinants of the decision to submit market or limit orders on the ASX
29. Fat tails and asymmetry in financial volatility models
30. Modeling Credit Risk: A Category Theory Perspective.
31. Non-linear modelling and forecasting of S&P 500 volatility
32. Capital Structure as a Mediating Factor in the Relationship between Uncertainty, CSR, Stakeholder Interest and Financial Performance.
33. Corporate governance and private placement issuance in Australia.
34. Women in leadership: an analysis of the gender pay gap in ASX-listed firms.
35. Outsider Board Activity, Ownership Structure and Firm Value: Evidence from Korea Outsider Board Activity, Ownership Structure and Firm Value: Evidence from Korea.
36. Embedded Tax Liabilities and Portfolio Choice.
37. ON THE ALLOCATION OF A TAKEOVER PURCHASE PRICE UNDER AASB1013.
38. Corporate governance, accounting and finance: A review.
39. Does size matter? A genetic programming approach to technical trading.
40. Did the goodwill accounting standard impose material economic consequences on Australian acquirers?
41. CORPORATE GOVERNANCE AND INSTITUTIONAL INVESTORS: EVIDENCE FROM MALAYSIA.
42. DIVIDENDS AND EXPROPRIATION IN HONG KONG.
43. Islamic Financing and Bank Risks: The Case of Malaysia.
44. Cyanide Complexes of zinc(II) and Cadmium(II) in 3 M NaCl Medium.
45. The Moderating Effect of Institutional Quality on the Financial Development and Environmental Quality Nexus.
46. Correspondence on 'EULAR recommendations for the management of ANCA-associated vasculitis: 2022 update' by Hellmich et al .
47. EULAR recommendations for the management of ANCA-associated vasculitis: 2022 update.
Catalog
Books, media, physical & digital resources
Discovery Service for Jio Institute Digital Library
For full access to our library's resources, please sign in.