Multinational Finance Journal

Titel Veröffentlichungsdatum Sprache Zitate
Booms and Busts as Exchange Options2012/12/014
Investor Valuation of the Abandonment Option: Empirical Evidence from UK Divestitures 1985-19912010/12/014
Pegged Exchange Rate Systems in Macau and Hong Kong1997/06/014
Regulation of Financial Markets: A Focused Approach1998/06/014
Estimating the Cost of Equity and Equity Risk-Premia of Canadian Firms1997/09/014
The Scrutinized-firm Effect, Portfolio Rebalancing, Stock Return Seasonality, and the Pervasiveness of the January Effect in Canada2002/03/014
Impact of ADR Listing on the Trading Volume and Volatility in the Domestic Market2004/12/014
Equity Market Price Interactions Between China and the Other Markets Within the Chinese States Equity Markets2008/06/014
Macroeconomic Stability, Bank Soundness, and Designing Optimum Regulatory Structures2004/12/014
Towards Decoding Currency Volatilities2009/06/014
Higher-Order Terms in Bivariate Returns to International Stock Market Indices2008/06/014
From Expected Cash Flows to Real Options2010/06/013
Asymmetric Information and Irreversible Investments: an Auction Model2010/12/013
An Integrated Risk Management Method: VaR Approach2000/12/013
An Analysis of Factors Affecting Investor Demand for Initial Public Offerings in Singapore2000/06/013
Jump Diffusion Processes and Emerging Bond and Stock Markets: An Investigation Using Daily Data1997/09/013
Efficiency of Price Discovery in Thinly Traded Stocks: Evidence from Dual Listings in Tel Aviv and the OTC1998/06/013
Does Total Risk Matter? The Case of Emerging Markets2006/06/013
Firm Investments and Corporate Governance in Asian Emerging Markets2008/06/013
Microstructure of the Irish Stock Market2008/12/013
The Long-Run Stock Performance of Privatization IPOs2006/12/013
The International Specialist Strategy: Financial Funding and Deployment2012/06/013
Valuation Efficiency of Secondary Markets for Formerly Illiquid Assets: The Case of German KG Ship Funds2016/01/013
Corporate Governance, Board Composition, Director Expertise, and Value: The Case of Quality Excellence2016/09/013
Dividends and Foreign Performance Signaling2015/06/013
The Determinants of Shareholder Value in Retail Banking During Crisis Years: The Case of Greece2015/06/013
What is the Relation (if any) Between a Firm’s Corporate Governance Arrangements and its Financial Performance?2016/12/013
A Reconsideration of the Meese-Rogoff Puzzle: An Alternative Approach to Model Estimation and Forecast Evaluation2016/01/012
Public Utility Regulation in the US and Asymmetric Return Responses to Positive and Negative Abnormal Earnings1998/12/012
Real Options Analysis and the Assumptions of Corporate Finance: A Non-Technical Review2010/06/012