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Journal of Financial and Quantitative Analysis, 2021年第6期

[發布日期]:2022-01-14  [浏覽次數]:

目錄

FinTechs and the Market for Financial Analysis
FinTechs和金融市場分析
Stakeholder Orientation and the Cost of Debt: Evidence from State-Level Adoption of Constituency Statutes
涉衆的取向和債務的成本:證據從國家級采用選區的律例
Informed Trading in the Stock Market and Option-Price Discovery
知情交易在股票市場和期權價格發現
Climate Change News Risk and Corporate Bond Returns
氣候變化的新聞風險和企業債券的回報
Searching for Gambles: Gambling Sentiment and Stock Market Outcomes
尋找賭博:賭博信心和股票市場的結果
Dynamic Compensation Under Uncertainty Shocks and Limited Commitment
動态補償不确定性沖擊下和有限的承諾
Private Placements of Equity and Firm Value: Value Enhancing or Value Destroying?
私募股權和公司的價值:加強價值或價值摧毀?
Institutional Debtholder Governance
機構債權人不再治理
Does Industry Timing Ability of Hedge Funds Predict Their Future Performance, Survival, and Fund Flows?
對沖基金的行業時機能預測他們的未來性能、生存,和資金流動?
Neglecting Peter to Fix Paul: How Shared Directors Transmit Bank Shocks to Nonfinancial Firms
忽視了彼得修複保羅:共享董事傳輸銀行沖擊非金融公司
Income Fluctuations and Firm Choice
收入動和公司的選擇
Liquidity Regulation and Financial Intermediaries
流動性監管和金融中介機構
Why Did the Investment–Cash Flow Sensitivity Decline over Time?
随着時間的推移為什麼Investment-Cash流敏感性下降?

 


原文鍊接:https://www.cambridge.org/core/journals/journal-of-financial-and-quantitative-analysis/issue/290EB93302D3C82414EE311656F83BB7

翻譯:有道翻譯
整理者:馮盼盼



上一條:Journal of Financial Stability,Volume 56, October 2021 下一條:Journal of Finance, 2021年第6期

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