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The Review of Financial Studies, 2022年第1期

[發布日期]:2022-02-10  [浏覽次數]:

目錄

Swing Pricing and Fragility in Open-End Mutual Funds
開放式共同基金的波動定價與脆弱性
The Unintended Consequences of Corporate Bond ETFs: Evidence from the Taper Tantrum
公司債券etf的意外後果:來自“縮減恐慌”的證據
Do Index Funds Monitor?
指數基金在監控嗎?
Peer Effects in Corporate Governance Practices: Evidence from Universal Demand Laws
公司治理實踐中的同伴效應:來自普遍需求法的證據
How Should Performance Signals Affect Contracts?
績效信号如何影響合同?
Competing for Talent: Firms, Managers, and Social Networks
人才競争:公司、經理和社交網絡
Buy-Side Competition and Momentum Profits
買方競争和動量利潤
Replicating Private Equity with Value Investing, Homemade Leverage, and Hold-to-Maturity Accounting
用價值投資、自制杠杆和持有至到期會計複制私募股權
Reconsidering Returns
重新考慮回報
Can Cross-Border Funding Frictions Explain Financial Integration Reversals?
跨境融資摩擦能否解釋金融一體化逆轉?
Cross-Border Bank Flows and Monetary Policy
跨境銀行流動與貨币政策
Regressive Mortgage Credit Redistribution in the Post-Crisis Era
後危機時代的遞減抵押貸款信貸再分配
Publisher's Note
出版說明


原文鍊接:https://academic.oup.com/rfs/issue

翻譯:有道翻譯
整理者:任兆月



上一條:Review of Finance, 2021年第6期 下一條:The Review of Financial Studies, 2021年第12期

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