European Journal of Finance's Blog
Central bank coordinated intervention: a microstructure approach
May 17, 2012
Comments (0)
The European Journal of Finance, Volume 0, Issue 0, Page 1-14, Ahead of Print.
The value of country-level perceived ethics to entrepreneurs around the world
May 11, 2012
Comments (0)
The European Journal of Finance, Volume 18, Issue 3-4, Page 209-237, March–April 2012.
Predictability in implied volatility surfaces: evidence from the Euro OTC FX market
May 5, 2012
Comments (0)
The European Journal of Finance, Volume 0, Issue 0, Page 1-26, Ahead of Print.
Domestic and foreign institutional investors’ behavior in China
May 3, 2012
Comments (0)
The European Journal of Finance, Volume 0, Issue 0, Page 1-24, Ahead of Print.
On the influence of autocorrelation and GARCH-effects on goodness-of-fit tests for copulas
May 1, 2012
Comments (0)
The European Journal of Finance, Volume 0, Issue 0, Page 1-14, Ahead of Print.
Organisational change and performance in long-lived small firms: a real options approach
April 28, 2012
Comments (0)
The European Journal of Finance, Volume 0, Issue 0, Page 1-19, Ahead of Print.
How do agency problems affect firm value? – Evidence from China
April 28, 2012
Comments (0)
The European Journal of Finance, Volume 0, Issue 0, Page 1-26, Ahead of Print.
Asymmetric returns, gradual bubbles and sudden crashes
April 19, 2012
Comments (0)
The European Journal of Finance, Volume 0, Issue 0, Page 1-18, Ahead of Print.
The determinants of foreign exchange hedging in Alternative Investment Market firms
April 19, 2012
Comments (0)
The European Journal of Finance, Volume 0, Issue 0, Page 1-23, Ahead of Print.
Financing obstacles and growth: an analysis for euro area non-financial firms
April 19, 2012
Comments (0)
The European Journal of Finance, Volume 0, Issue 0, Page 1-18, Ahead of Print.
