164 results on '"Hasan, Mostafa Monzur"'
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2. Real earnings management and debt choice
3. Brand capital and debt choice
4. Organization capital and GHG emissions
5. Organization capital and firm risks
6. Political sentiment and credit ratings
7. Firm life cycle and cost of debt
8. Does strategic deviation influence firms’ use of supplier finance?
9. The impact of the Russia-Ukraine crisis on the stock market: Evidence from Australia
10. Strategic deviation and idiosyncratic return volatility
11. CEO inside debt holdings and credit ratings
12. Political sentiment and corporate social responsibility
13. Strategic deviation and debt maturity structure
14. Corporate culture and bank debt
15. Corporate sexual orientation equality policies and the cost of equity capital
16. Organization capital, tournament incentives and firm performance
17. Oil price uncertainty and corporate debt maturity structure
18. Do intangible assets provide corporate resilience? New evidence from infectious disease pandemics
19. Does a competitive external labour market affect corporate social responsibility? Evidence from industry tournament incentives
20. Asset redeployability and trade credit
21. Oil shocks and corporate social responsibility
22. Corporate tax avoidance and trade credit.
23. Do intangibles matter for corporate policies? Evidence from organization capital and corporate payout choices
24. Organizational capital, corporate tax avoidance, and firm value
25. Oil shocks and corporate payouts
26. Distracted institutional shareholders and corporate cash holdings
27. Financial statement comparability and bank risk-taking
28. Social capital and payout policies
29. Does competition enhance the double-bottom-line performance of microfinance institutions?
30. Readability of narrative disclosures, and corporate liquidity and payout policies
31. Organization capital and corporate cash holdings
32. Firm-level litigation risk and CEO equity incentives
33. Corporate life cycle research in accounting, finance and corporate governance: A survey, and directions for future research
34. Social capital and trade credit
35. IFRS adoption, financial reporting quality and cost of capital: a life cycle perspective
36. Social capital and idiosyncratic return volatility
37. All in the family? The impact of founder directors and family governance on microfinance institutions' social performance.
38. Organization capital and firm life cycle
39. Firm life cycle and advisory directors
40. Managerial ability, investment efficiency and stock price crash risk
41. Social capital and corporate cash holdings
42. Corporate life cycle, organizational financial resources and corporate social responsibility
43. Firm life cycle and idiosyncratic volatility
44. Business strategy, overvalued equities, and stock price crash risk
45. Corporate tax avoidance and trade credit
46. All in the family? The impact of founder directors and family governance on microfinance institutions' social performance
47. Conference-call-based Political Risk Measure: a Disclosure Perspective
48. Corporate life cycle and cost of equity capital
49. Brand Capital and Stock Price Crash Risk
50. CEO inside debt holdings and credit ratings
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