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1. How do investors value the publication of tax information? Evidence from the European public country‐by‐country reporting.

2. Segment disaggregation and equity‐based pay contracts.

3. Equity Return Expectations and Portfolios: Evidence from Large Asset Managers.

4. Do Capital Markets Punish Managerial Myopia? Evidence from Myopic Research and Development Cuts.

5. Initial Margin Requirements and Market Efficiency.

6. Earnings guidance stoppage and the value of financial analysts' research.

7. Cost uniqueness and information uncertainty.

8. The implications of firms' derivative usage on the frequency and usefulness of management earnings forecasts.

9. Corporate Bond Market Distress.

10. Under What Conditions Does the Manager Withhold Segment Information?

11. The Infrastructural Power of the Cayman Islands and the US State Power: A Financial Networks Centrality Approach.

12. EMIR 3.0: Overcoming the challenges of derivatives clearing with baby steps. Still beating around the bush? Received (in revised form): 26th April, 2024.

13. Board diversity and stock price crash risk: exacerbate or mitigate.

14. Environmental, Social and Governance Performance Disclosure and Market Value: Evidence from Jordan.

15. The relationship between compliance level and value creation: evidence from integrated reports in Turkey.

16. Identification and Ranking of Financial, Non-Financial, and Behavioral Components Influencing Earnings Response Coefficient in the Iranian Capital Market (Data Mining Approach).

17. Can digital transformation prohibit corporate fraud? Empirical evidence from China.

18. Non-financial information farsightedness and capital market information efficiency.

19. Can good ESG performance of listed companies reduce abnormal stock price volatility? Mediation effects based on investor attention.

20. THE INFLUENCE OF FINANCIAL LITERACY, FINANCIAL EFFICACY AND DEMOGRAPHIC FACTORS ON INVESTMENT DECISIONS IN THE CAPITAL MARKET.

21. The top-5 Brazilian stocks’ resilience over 13 years of political-economic events.

22. Earnings quality, stock price synchronicity and foreign ownership: evidence of ASX200 firms.

23. Can we rest easy under the registration-based IPO reform? Evidence from the Chinese growth enterprise market.

24. Information matters: The effectiveness of mixed-ownership reform in mitigating financial constraints.

25. THE RELATIONSHIP BETWEEN THE APPLICATION OF THE SUSTAINABLE GROWTH POLICY OF THE ENTERPRISE AND THE GROWTH OF THE ENTERPRISE ON THE CAPITAL MARKET: EXAMPLES OF EUROPEAN COUNTRIES.

26. Product Market Competition and Stock Price Crash Risk: Evidence from China.

27. RISK PERCEPTION VERSUS RISK PREFERENCE AMONG FUTURE FINANCIAL MARKET PARTICIPANTS - A PILOT STUDY.

28. Wall Street and Product Quality: The Duality of Analysts.

29. Paytm: Lack of a Cogent IPO Story?

30. Risk Analysis of Conglomerates with Debt and Equity Links.

31. The Increasing Trend in Effective Tax Rates in India: Role of Macroeconomic Factors, Tax Policy Changes and Firm Characteristics.

32. Asymmetric Tone in Management Discussion and Analysis and Its Impact: Evidence from the Chinese Stock Market.

33. Assessing the financial impacts of significant wildfires on US capital markets: sectoral analysis.

34. Cross‐ownership, business dynamism, and wage inequality in general equilibrium.

35. The Impact of Directional Global Economic Policy Uncertainty on Indian Stock Market Volatility: New Evidence.

36. The Capital Market Effects of Centralizing Regulated Financial Information.

37. IPO underpricing and corporate innovation: evidence from China.

38. Effect of earthquake sequences on risk‐based catastrophe bond pricing.

39. The impact of financing efficiency in defense industry base on non‐technological innovation: Evidence from China.

40. Myopic capital market concerns and investment incentives in business alliances.

41. Cross‐ownership and corporate ESG investment: Promotion or suppression?

42. Corporate violations and bank debt cost: The insurance effect of corporate social responsibility.

43. How do firms react to capital market liberalization? Evidence from ESG reporting greenwashing.

44. Parent-Only Balance Sheet Information and Credit Risk Assessments.

45. STRENGTHENING THE REGULATORY CONCEPT OF NOTARY SUPERVISION BY THE FINANCIAL SERVICES AUTHORITY IN INDONESIA'S CAPITAL MARKET ACTIVITIES.

46. قياس أثر التحفظ المحاسبى على العلاقة بين المرونة المالية وخطر انهيار أسعار الأسهم: دراسة تطبيقية على الشركات غير المالية المقيدة بالبورصة المصرية.

47. The Impact of Corporate Reputation on Cost of Debt: A Panel Data Analysis of Indian Listed Firms.

48. Operational efficiency in the presence of undesirable byproducts: an analysis of Indian banking sector under traditional and market-based banking framework.

49. Asimetrik Bilgi Sorununun Giderilmesinde Kamuyu Aydınlatma Platformu.

50. THE PRACTICE OF GREEN WASHING MOTIVATED BY FINANCIAL CONSTRAINTS: AN ANALYSIS IN GLOBAL ECONOMIES.

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