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- European financial management [remove]419
- Volume 19:Number 1(2013:Jan.)8
- Volume 19:Number 2(2013:Mar.)6
- Volume 19:Number 3(2013:Jun.)10
- Volume 19:Number 4(2013:Sep.)9
- Volume 19:Number 5(2013:Nov.)8
- Volume 20:Number 1(2014:Jan.)7
- Volume 20:Number 2(2014:Mar.)8
- Volume 20:Number 3(2014:Jun.)9
- Volume 20:Number 4(2014:Sep.)7
- Volume 20:Number 5(2014:Nov.)6
- 332.094 419
- Corporations -- European Union countries -- Finance -- Periodicals 419
- Finance -- European Union countries -- Periodicals 419
- International finance -- Periodicals 419
- additional purchase -- disposition effect -- individual investors -- mental accounting -- portfolio choice -- trading decision 2
- conditional return smoothing -- contagion -- factor model -- hedge funds -- interdependence -- single equation error correction model 2
- debt maturity -- corporate governance -- information asymmetry -- stock price crash risk 2
- "T + 1" trading rule -- cross‐market ETF -- day‐of‐the‐week effect -- LETF -- leveraged ETF 1
- 13(f) filings -- institutional investors -- mutual‐fund performance -- mutual funds 1
- Asset pricing -- three‐factor model -- portfolio overlapping -- size effect -- value premium 1