Transparency, governance and markets

1st ed
Transparency, governance and markets
Michele Bagella, Leonardo Becc ...
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Last edited by ImportBot
January 30, 2024 | History

Transparency, governance and markets

1st ed

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Publish Date
Publisher
Elsevier
Language
English
Pages
417

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Previews available in: English

Edition Availability
Cover of: Transparency, Governance and Markets
Transparency, Governance and Markets
2006, Emerald Publishing Limited
in English
Cover of: Transparency, governance and markets
Transparency, governance and markets
2006, Elsevier
in English - 1st ed
Cover of: Transparency, Governance and Markets
Transparency, Governance and Markets
2006, Emerald Publishing Limited
in English
Cover of: Transparency, Governance and Markets
Transparency, Governance and Markets
August 16, 2006, Elsevier Science
in English

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Book Details


Table of Contents

Theoretical explanations of why banks promise to pay par on demand / Gerald P. Dwyer, Jr. and Margarita Samartín
Productivity and efficiency measurement using parametric econometric methods / Subal C. Kumbhakar
Firm, market and strategic factors in venture capital exits / Douglas J. Cumming and Jeffrey G. MacIntosh
Financial development, inflation uncertainty and growth volatility / Robert Lensink and Bert Scholtens
Mathematical characterization of behavioral market dynamics : from stylized agents to aggregate price processes / Michele Bagella, Rocco Ciciretti and Gabriele Susinno
Conditional asset pricing model : an application to the Korean stock market / Sungho Choi, Rifat Gorener and John R. Norsworthy
Dividend policy of bank initial public offerings / Wolgang Bessler, James P. Murtagh and Dona D. Siregar
Financial sector development and growth : re-examining the nexus / George Mavrotas and Sang-Ik Son
The (corporate) equity risk premium/(corporate) bond risk premium nexus in the U.S. market / Leonardo Becchetti ... [et al.]
Asset and default correlations between non-financial corporations : evidence from the Italian stock market / Cristiano Zazzara and Zeno Rotondi
Margin requirements with intraday dynamics / John Cotter and François Longin
Nonparametric techniques to validate credit classification models : an empirical analysis / Simone Borra, Stefano Caiazza and Stefania Di Giacomo
Transparency, institutional framework and capital structure : international evidence from industry data / Natalia Utrero-González
Money laundering and financial offshore centres : a political economy approach / Donato Masciandaro
Networks and stock market integration : empirical evidence / Iftekhar Hasan and Heiko Schmiedel

Edition Notes

Includes bibliographical references

Published in
Amsterdam, Boston

Classifications

Library of Congress
HG4523 .T72 2006, HC173

The Physical Object

Pagination
xiii, 417 p. :
Number of pages
417

ID Numbers

Open Library
OL18277813M
ISBN 10
0444527222
ISBN 13
9780444527226
LCCN
2006048543
OCLC/WorldCat
156548138

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History

Download catalog record: RDF / JSON / OPDS | Wikipedia citation
January 30, 2024 Edited by ImportBot import existing book
January 14, 2023 Edited by ImportBot import existing book
December 29, 2022 Edited by MARC Bot import existing book
February 4, 2019 Edited by MARC Bot import existing book
October 15, 2008 Created by ImportBot Imported from Miami University of Ohio MARC record