International Journal of Managerial Finance

Titel Veröffentlichungsdatum Sprache Zitate
Does family ownership create or destroy value? Evidence from Canada2013/02/22English15
Effects of asymmetric information on market timing in the mutual fund industry2018/05/11English15
Underpricing, share retention, and the IPO aftermarket liquidity2005/06/01English13
Risk and decision making by finance executives: a survey study2007/01/23English13
Credit scoring and decision making in Egyptian public sector banks2009/09/25English13
Market making in international capital markets2009/02/20English13
Intraday return and volatility spill‐over across international copper futures markets2009/02/20English13
On the relationship between trading volume and stock price volatility in CASE2009/02/20English12
Ownership structure, earnings management and acquiring firm post‐merger market performance2012/03/30English12
Corporate governance research: a contingency framework2008/09/26English11
Corporate investment and financial slack: international evidence2005/09/01English11
Robust multivariate modeling in finance2005/06/01English11
Decision processes in German mutual fund companies: evidence from a telephone survey2007/01/23English11
Market regimes, sectorial investments, and time‐varying risk premiums2011/04/05English11
Corporate governance mechanisms, accounting results and stock valuation in Canada2012/09/21English11
Value‐at‐risk under extreme values: the relative performance in MENA emerging stock markets2006/04/01English11
Cycles and common cycles in real estate markets2007/07/03English11
A cross‐section analysis of financial market integration in North America using a four factor model2009/06/26English11
Determinants of ownership structure and performance of seasoned equity offerings2012/09/21English10
Value enhancement using momentum indicators: the European experience2007/07/03English10
R&D and dividend payments as determinants of corporate value in the UK2008/01/18English10
The impact of IFRS implementation on Greek listed companies2011/06/28English10
Effects of the method of payment and the mode of acquisition on performance and risk metrics2006/07/01English9
The relationship between implied volatility and autocorrelation2007/04/10English9
Skewness in hedge funds returns: classical skewness coefficients vs Azzalini's skewness parameter2010/09/28English9
Investors' response to mutual fund company mergers2006/04/01English9
Survey research in finance2007/01/23English9
Firms as credit suppliers: an empirical study of Spanish firms2008/04/04English9
An analysis of failed takeover attempts and merger cancellations2011/09/26English9
The market reaction to the appointment of outside directors2008/09/26English8