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There are 16632 results for: content related to: Beyond Fundamentals: Investor Sentiment and Exchange Rate Forecasting

  1. Are Private Equity Investors Boon or Bane for an Economy?–A Theoretical Analysis

    European Financial Management

    Sebastian Ernst, Christian Koziol and Denis Schweizer

    Article first published online : 18 FEB 2011, DOI: 10.1111/j.1468-036X.2010.00586.x

  2. The Risk Microstructure of Corporate Bonds: A Case Study from the German Corporate Bond Market

    European Financial Management

    Volume 16, Issue 4, September 2010, Pages: 658–685, Manfred Frühwirth, Paul Schneider and Leopold Sögner

    Article first published online : 19 AUG 2010, DOI: 10.1111/j.1468-036X.2009.00503.x

  3. Tranching and Rating

    European Financial Management

    Volume 15, Issue 5, November 2009, Pages: 891–922, Michael J. Brennan, Julia Hein and Ser-Huang Poon

    Article first published online : 24 SEP 2009, DOI: 10.1111/j.1468-036X.2009.00515.x

  4. Evaluating Natural Resource Investments under Different Model Dynamics: Managerial Insights

    European Financial Management

    Volume 18, Issue 4, September 2012, Pages: 543–575, Andrianos E. Tsekrekos, Mark B. Shackleton and Rafał Wojakowski

    Article first published online : 19 FEB 2010, DOI: 10.1111/j.1468-036X.2010.00544.x

  5. Deposit Finance as a Commitment Device and the Optimal Debt Structure of Commercial Banks

    European Financial Management

    Matthias Bank and Jochen Lawrenz

    Article first published online : 22 SEP 2010, DOI: 10.1111/j.1468-036X.2010.00566.x

  6. Capital Structure and Assets: Effects of an Implicit Collateral

    European Financial Management

    Volume 14, Issue 2, March 2008, Pages: 347–373, Christian Riis Flor

    Article first published online : 24 SEP 2007, DOI: 10.1111/j.1468-036X.2007.00393.x

  7. The Analysis of Real Data Using a Multiscale Stochastic Volatility Model

    European Financial Management

    Lorella Fatone, Francesca Mariani, Maria Cristina Recchioni and Francesco Zirilli

    Article first published online : 18 FEB 2011, DOI: 10.1111/j.1468-036X.2010.00584.x

  8. False Discoveries in UK Mutual Fund Performance

    European Financial Management

    Volume 18, Issue 3, June 2012, Pages: 444–463, Keith Cuthbertson, Dirk Nitzsche and Niall O'Sullivan

    Article first published online : 21 JAN 2010, DOI: 10.1111/j.1468-036X.2009.00536.x

  9. Hedging with Two Futures Contracts: Simplicity Pays

    European Financial Management

    Volume 17, Issue 5, November 2011, Pages: 806–834, Katelijne A.E. Carbonez, Van Thi Tuong Nguyen and Piet Sercu

    Article first published online : 23 SEP 2010, DOI: 10.1111/j.1468-036X.2010.00570.x

  10. Consumption and Hedging in Oil-Importing Developing Countries

    European Financial Management

    Volume 18, Issue 5, November 2012, Pages: 896–928, Felipe Aldunate and Jaime Casassus

    Article first published online : 9 MAR 2011, DOI: 10.1111/j.1468-036X.2011.00585.x

  11. Pay me Right: Reference Values and Executive Compensation

    European Financial Management

    Volume 16, Issue 5, November 2010, Pages: 778–804, Aleksandra Gregorič, Sašo Polanec and Sergeja Slapničar

    Article first published online : 14 JUL 2010, DOI: 10.1111/j.1468-036X.2010.00558.x

  12. Default and Recovery Risk Dependencies in a Simple Credit Risk Model

    European Financial Management

    Volume 17, Issue 1, January 2011, Pages: 120–144, Benjamin Bade, Daniel Rösch and Harald Scheule

    Article first published online : 22 DEC 2010, DOI: 10.1111/j.1468-036X.2010.00582.x

  13. The Stochastic Seasonal Behaviour of Natural Gas Prices

    European Financial Management

    Volume 18, Issue 3, June 2012, Pages: 410–443, Andrés García Mirantes, Javier Población and Gregorio Serna

    Article first published online : 28 FEB 2010, DOI: 10.1111/j.1468-036X.2009.00533.x

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    Agency and Institutional Investment

    European Financial Management

    Volume 18, Issue 1, January 2012, Pages: 1–27, Michael J. Brennan, Xiaolong Cheng and Feifei Li

    Article first published online : 17 MAR 2011, DOI: 10.1111/j.1468-036X.2011.00596.x

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    Risk-Adjusted Measures of Value Creation in Financial Institutions

    European Financial Management

    Volume 18, Issue 4, September 2012, Pages: 578–601, Alistair Milne and Mario Onorato

    Article first published online : 5 MAR 2010, DOI: 10.1111/j.1468-036X.2010.00540.x

  16. Optimal Investment Decisions for Two Positioned Firms Competing in a Duopoly Market with Hidden Competitors

    European Financial Management

    Volume 17, Issue 2, March 2011, Pages: 305–330, Manuel Rocha Armada, Lawrence Kryzanowski and Paulo Jorge Pereira

    Article first published online : 4 SEP 2009, DOI: 10.1111/j.1468-036X.2009.00514.x

  17. The Dependency of the Banks' Assets and Liabilities: Evidence from Germany

    European Financial Management

    Volume 18, Issue 4, September 2012, Pages: 602–619, Christoph Memmel and Andrea Schertler

    Article first published online : 28 FEB 2010, DOI: 10.1111/j.1468-036X.2010.00543.x

  18. Margin Changes and Futures Trading Activity: a New Approach

    European Financial Management

    Kate Phylaktis and Antonis Aristidou

    Article first published online : 16 AUG 2010, DOI: 10.1111/j.1468-036X.2010.00565.x

  19. Collateral in Monetary Policy Operations

    European Financial Management

    Volume 17, Issue 2, March 2011, Pages: 286–304, Francisco J. Callado-Muñoz and Fernando Restoy

    Article first published online : 16 JUN 2009, DOI: 10.1111/j.1468-036X.2009.00504.x

  20. Liquidity and Optimal Market Transparency

    European Financial Management

    Volume 16, Issue 4, September 2010, Pages: 599–623, Ariadna Dumitrescu

    Article first published online : 19 AUG 2010, DOI: 10.1111/j.1468-036X.2008.00474.x