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There are 6480 results for: content related to: Combining multiple continuous tests for the diagnosis of kidney impairment in the absence of a gold standard

  1. Trend in aggregate idiosyncratic volatility

    Review of Financial Economics

    Volume 35, Issue 1, November 2017, Pages: 11–28, Kiseok Nam, Shahriar Khaksari and Moonsoo Kang

    Version of Record online : 9 NOV 2016, DOI: 10.1016/j.rfe.2016.11.001

  2. Corporate investment and stock liquidity: Evidence on the price impact of trade

    Review of Financial Economics

    Volume 33, Issue 1, April 2017, Pages: 1–11, Moonsoo Kang, Wei Wang and Chanyoung Eom

    Version of Record online : 10 FEB 2017, DOI: 10.1016/j.rfe.2017.02.001

  3. Inside directors, risk aversion, and firm performance

    Review of Financial Economics

    Volume 32, Issue 1, January 2017, Pages: 64–74, Arun D. Upadhyay, Rahul Bhargava, Sheri Faircloth and Hongchao Zeng

    Version of Record online : 12 DEC 2016, DOI: 10.1016/j.rfe.2016.12.001

  4. Conditional interest rate risk and the cross-section of excess stock returns

    Review of Financial Economics

    Volume 30, Issue 1, September 2016, Pages: 23–32, Victoria Atanasov

    Version of Record online : 29 APR 2016, DOI: 10.1016/j.rfe.2016.02.003

  5. Who issues Sukuk and when?: An analysis of the determinants of Islamic bond issuance

    Review of Financial Economics

    Volume 31, Issue 1, November 2016, Pages: 45–55, Mamoru Nagano

    Version of Record online : 19 MAY 2016, DOI: 10.1016/j.rfe.2016.05.002

  6. Opaque financial reports and R2: Revisited

    Review of Financial Economics

    Volume 23, Issue 1, January 2014, Pages: 10–17, Sudip Datta, Mai Iskandar-Datta and Vivek Singh

    Version of Record online : 8 AUG 2013, DOI: 10.1016/j.rfe.2013.08.001

  7. Can hedge funds time global equity markets? Evidence from emerging markets

    Review of Financial Economics

    Volume 29, Issue 1, April 2016, Pages: 2–11, Adam L. Aiken, Osman Kilic and Sean Reid

    Version of Record online : 27 MAY 2015, DOI: 10.1016/j.rfe.2015.05.002

  8. Socially responsible investing and stock performance: New empirical evidence for the US and European stock markets

    Review of Financial Economics

    Volume 23, Issue 4, November 2014, Pages: 208–216, Janick Christian Mollet and Andreas Ziegler

    Version of Record online : 7 SEP 2014, DOI: 10.1016/j.rfe.2014.08.003

  9. Revisiting the composition puzzles of the household portfolio: New evidence

    Review of Financial Economics

    Volume 20, Issue 2, May 2011, Pages: 63–73, Fangyi Jin

    Version of Record online : 6 MAR 2011, DOI: 10.1016/j.rfe.2011.03.001

  10. Resurrecting the size effect: Evidence from a panel nonlinear cointegration model for the G7 stock markets

    Review of Financial Economics

    Volume 23, Issue 1, January 2014, Pages: 46–53, Nicholas Apergis and James E. Payne

    Version of Record online : 27 AUG 2013, DOI: 10.1016/j.rfe.2013.08.003

  11. An inverted U-shaped crude oil price return-implied volatility relationship

    Review of Financial Economics

    Volume 27, Issue 1, November 2015, Pages: 28–45, Terence D. Agbeyegbe

    Version of Record online : 1 SEP 2015, DOI: 10.1016/j.rfe.2015.08.001

  12. Price and Volume Behavior around the Ex-dividend Day: Evidence on the Value of Dividends from American Depositary Receipts and their Underlying Australian Stocks

    International Review of Finance

    Volume 8, Issue 1-2, March/June 2008, Pages: 21–55, AELEE JUN, V. T. ALAGANAR, GRAHAM PARTINGTON and MAX STEVENSON

    Version of Record online : 28 JUN 2008, DOI: 10.1111/j.1468-2443.2008.00073.x

  13. Volatility measures as predictors of extreme returns

    Review of Financial Economics

    Volume 35, Issue 1, November 2017, Pages: 1–10, Lorne N. Switzer, Cagdas Tahaoglu and Yun Zhao

    Version of Record online : 7 APR 2017, DOI: 10.1016/j.rfe.2017.04.001

  14. The wages of social responsibility — where are they? A critical review of ESG investing

    Review of Financial Economics

    Volume 26, Issue 1, September 2015, Pages: 25–35, Gerhard Halbritter and Gregor Dorfleitner

    Version of Record online : 2 APR 2015, DOI: 10.1016/j.rfe.2015.03.004

  15. Islamic investing

    Review of Financial Economics

    Volume 21, Issue 2, April 2012, Pages: 53–62, Christian Walkshäusl and Sebastian Lobe

    Version of Record online : 8 MAR 2012, DOI: 10.1016/j.rfe.2012.03.002

  16. The spirit of capitalism among the income classes

    Review of Financial Economics

    Volume 23, Issue 1, January 2014, Pages: 1–9, H.J. Smoluk and John Voyer

    Version of Record online : 30 MAY 2013, DOI: 10.1016/j.rfe.2013.05.006

  17. Market Microstructure and the Ex-Date Return

    The Journal of Finance

    Volume 49, Issue 4, September 1994, Pages: 1507–1519, JENNIFER S. CONRAD and ROBERT CONROY

    Version of Record online : 30 APR 2012, DOI: 10.1111/j.1540-6261.1994.tb02464.x

  18. Issuer Operating Performance and IPO Price Formation

    Journal of Accounting Research

    Volume 53, Issue 5, December 2015, Pages: 1109–1149, MICHAEL WILLENBORG, BIYU WU and YANHUA SUNNY YANG

    Version of Record online : 2 OCT 2015, DOI: 10.1111/1475-679X.12091

  19. Treasury Auction Bids and the Salomon Squeeze

    The Journal of Finance

    Volume 48, Issue 4, September 1993, Pages: 1403–1419, NARASIMHAN JEGADEESH

    Version of Record online : 30 APR 2012, DOI: 10.1111/j.1540-6261.1993.tb04759.x

  20. Initial credit ratings and earnings management

    Review of Financial Economics

    Volume 22, Issue 4, November 2013, Pages: 135–145, K. Ozgur Demirtas and Kimberly Rodgers Cornaggia

    Version of Record online : 14 MAY 2013, DOI: 10.1016/j.rfe.2013.05.003