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Multinational Finance Journal
Title
Publication Date
Language
Citations
Mean and Volatility Spillover Effects in the U.S. and Pacific–Basin Stock Markets
1997/03/01
116
Exchange Rate Returns Standardized by Realized Volatility are (Nearly) Gaussian
2000/12/01
80
Dynamic Herding Behavior in Pacific-Basin Markets: Evidence and Implications
2013/12/01
69
Co-Movements of European Equity Markets Before and After the 1987 Crash
1997/06/01
63
Skewed Generalized Error Distribution of Financial Assets and Option Pricing
2015/12/01
59
Weak-form Efficiency and Causality Tests in Chinese Stock Markets
1997/12/01
52
Media Content and Stock Returns: The Predictive Power of Press
2015/03/01
50
Multi-Fractality in Foreign Currency Markets
2002/06/01
43
High Frequency Deutsche Mark-US Dollar Returns: FIGARCH Representations and Non Linearities
2000/12/01
41
Privatization versus Private Sector Initial Public Offerings in Poland
2000/06/01
40
Can the Forecasts Generated from E/P Ratio and Bond Yield be Used to Beat Stock Markets?
2001/03/01
35
Information Flows Between Eurodollar Spot and Futures Markets
1997/12/01
34
The Predictability of Management Forecast Error: A Study of Australian IPO Disclosures
2000/06/01
32
A Multicriteria Discrimination Method for the Prediction of Financial Distress: The Case of Greece
1999/06/01
31
Takeover Prediction Models and Portfolio Strategies: A Multinomial Approach
2004/06/01
31
Ownership-Control Discrepancy and Firm Value: Evidence from France
2007/12/01
30
The Short-Run Performance of IPOs of Privately and Publicly-Owned Firms: International Evidence
1998/09/01
29
Shareholder Wealth Effects of Dividend Policy Changes in an Emerging Stock Market: The Case of Cyprus
2001/06/01
28
Impact of Financial Crisis on Firms’ Capital Structure in UK, France, and Germany
2014/12/01
27
Asset Markets Contagion During the Global Financial Crisis
2013/06/01
25
Impact of Scheduled U.S. Macroeconomic News on Stock Market Uncertainty: A Multinational Perspecive
2001/06/01
25
Using Financial Information to Differentiate Failed vs. Surviving Finance Companies in Thailand: An Implication for Emerging Economies
1999/06/01
23
An Investigation of Thai Listed Firms' Financial Distress Using Macro and Micro Variables
1999/06/01
23
The Impact of Commodity Price Risk on Firm Value - An Empirical Analysis of Corporate Commodity Price Exposures
2005/12/01
21
The Separation of Banking from Insurance: Evidence from Europe
2008/12/01
19
Estimation of VaR Using Copula and Extreme Value Theory
2008/12/01
18
Determinants of Bank Long-term Lending Behavior:Evidence from Russia
2011/12/01
18
Regime-Switching in Emerging Stock Market Returns
1998/06/01
18
International Transmission of Information: A Study of the Relationship Between the U.S. and Greek Stock Markets
1999/03/01
18
Correlation of Returns in Non-Contemporaneous Markets
1997/06/01
18
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