European Financial Management

Cover image for Vol. 16 Issue 1

January 2010

Volume 16, Issue 1

Pages 1–155

  1. EXECUTIVE SUMMARIES

    1. Top of page
    2. EXECUTIVE SUMMARIES
    3. ORIGINAL ARTICLES
    4. ERRATUM
    1. Executive Summaries (pages 1–7)

      Version of Record online: 23 DEC 2009 | DOI: 10.1111/j.1468-036X.2009.00537.x

  2. ORIGINAL ARTICLES

    1. Top of page
    2. EXECUTIVE SUMMARIES
    3. ORIGINAL ARTICLES
    4. ERRATUM
    1. Property Derivatives for Managing European Real-Estate Risk (pages 8–26)

      Frank J. Fabozzi, Robert J. Shiller and Radu S. Tunaru

      Version of Record online: 7 DEC 2009 | DOI: 10.1111/j.1468-036X.2009.00528.x

    2. Keeping Up with the Joneses: A Model and a Test of Collective Accounting Fraud (pages 72–93)

      Nuno Fernandes and José Guedes

      Version of Record online: 16 JUN 2009 | DOI: 10.1111/j.1468-036X.2009.00494.x

    3. Corporate Governance in China: a Step Forward (pages 94–123)

      Yan-Leung Cheung, Ping Jiang, Piman Limpaphayom and Tong Lu

      Version of Record online: 23 DEC 2009 | DOI: 10.1111/j.1468-036X.2008.00446.x

    4. Interest Rate Risk Rewards in Stock Returns of Financial Corporations: Evidence from Germany (pages 124–154)

      Marc-Gregor Czaja, Hendrik Scholz and Marco Wilkens

      Version of Record online: 21 JUL 2008 | DOI: 10.1111/j.1468-036X.2008.00455.x

  3. ERRATUM

    1. Top of page
    2. EXECUTIVE SUMMARIES
    3. ORIGINAL ARTICLES
    4. ERRATUM
    1. You have free access to this content
      Erratum (page 155)

      Version of Record online: 23 DEC 2009 | DOI: 10.1111/j.1468-036X.2009.00539.x

      This article corrects:

      Quantifying the Interest Rate Risk of Banks: Assumptions Do Matter

      Vol. 15, Issue 5, 1001–1018, Version of Record online: 4 SEP 2009

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