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Journal of financial Markets,Volume 56,November 2021, 100605

[發布日期]:2022-02-10  [浏覽次數]:

目錄

The pricing of the illiquidity factor’s conditional risk with time-varying premium
流動性不足的定價因素的條件與時變風險溢價
Optimal contract for asset trades: Collateralizing or selling?
最優資産交易:合同擔保或出售嗎?
Does the Nationally Recognized Statistical Rating Organization certification matter for Japanese credit rating agencies?
全國認可的統計評級組織的認證對日本信用評級機構很重要?
Does it pay to follow anomalies research? Machine learning approach with international evidence
它遵循異常研究支付嗎?
Investment styles and the multiple testing of cross-sectional stock return predictability
投資風格和橫截面股票回報可預見性的多個測試
Financial oligopolies and parallel exclusion in the credit default swap markets
金融寡頭和并行信用違約互換市場的排斥
Does shareholder litigation affect the corporate information environment?
股東訴訟影響企業信息環境嗎?

原文鍊接:https://www.sciencedirect.com/journal/journal-of-financial-markets/vol/56/suppl/C

翻譯:有道翻譯
整理者:李沛然



上一條:Journal of Public Economics,Volume 206,February 2022, 104559 下一條:Journal of Economic Literature,2021年4期

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