No. |
File |
Judul |
1. |
00f0077 |
Foreign trading and volatility in Indonesia |
2. |
00f0078 |
Testing nonlinear relationships between excess rate of return on equity and financial ratios |
3. |
00f0079 |
Disclosure level and expected cost of equity capital: an examination of analyst's rankings of corporate disclosure and alternative methods of estimating expected cost of equity capital |
4. |
01f0080 |
Estimating expected cost of equity capital: a theory-based approach |
5. |
98f0081 |
The cash flow permanence and information content of dividend increases vs. repurchases |
6. |
86f0082 |
Average costs of free cash flow, corporate finance, and takeovers |
7. |
96f0083 |
A comparison of dividend, cash flow and earnings approaches to equity valuation |
8. |
99f0084 |
The impact of losses and cash flows on dividend: empirical evidence for Japan |
9. |
04f0085 |
Valuing companies by cash flow discounting: ten methods and nine theories (Ref) |
10. |
03f0086 |
Empirical evidence on corporate governance in Europe |
11. |
03f0087 |
Nonlinear effects of insider ownership on corporate value: evidence from Korea |
12. |
02f0088 |
Predicting return with financial ratios |
13. |
03f0089 |
Equivalence of ten different methods for valuing companies by cash flow (Ref) |
14. |
02f0090 |
Growth, corporate profitability and shareholder value creation |
15. |
00f0091 |
Corporate risk management as a lever for shareholder value creation (Ref) |
16. |
03f0092 |
Assessing the time horizon of bankruptcy using financial ratios and the maturity schedule of long-term debt |
17. |
01f0093 |
Financial constraints and investment – cash flow sensitivities: new research directions |
18. |
99f0094 |
Leverage ratios, industry norms, and stock price reaction: an empirical investigation of stock - debt transactions – statistical data included |
19. |
99f0095 |
Do bank acquisitions increase shareholder's wealth? A comparison between market – based and accounting – based performance indicators for some Italian banks |
20. |
00f0096 |
A non-parametric evaluation of banking efficiency in Portugal , new vs. old banks |
21. |
01f0097 |
Product mix and earnings volatility at commercial banks: evidence from a degree of total leverage model |
22. |
99f0098 |
Banking in a theory of the business cycle: a model and critique of the Basle accord on RBC requirements for banks |
23. |
99f0099 |
Different earnings management to avoid earning declines and issues across publicly and privately – held banks |
24. |
00f0100 |
Should banks own equity? A corporate finance perspective |
25. |
01f0101 |
How accurate or Value–at–Risk models at commercial banks? |
26. |
01f0102 |
Risk management, capital structure, and lending at banks |
27. |
02f0103 |
The role of unrecorded intangible assets in residual income valuation: the case of banks |
28. |
01f0104 |
Should banks be diversified? Evidence from individual bank loan portfolios |
29. |
01f0105 |
Stock markets, banks, and growth: Correlation or causality |
30. |
02f0106 |
How do stock repurchases affect bank holding company performance? |
31. |
00f0107 |
The valuation of IPOs by investments banks and the stock market: empirical evidence |
32. |
03f0108 |
Local banks, customer-relationship and e-finance: considerations on the Italian cooperative banks of credit experience and its evolution |
33. |
02f0109 |
Building relationship early: banks in venture capital |
34. |
02f0110 |
How bank risk profiles affect their strength: An assessment of banks in the Asia – Pacific region |
35. |
03f0111 |
Finance, control, and profitability: The influence of German banks |
36. |
02f0112 |
Dividend behavior and pure accrual management of Japanese banks |
37. |
00f0113 |
The operating and balance sheet performance of Japanese international banks in relation to safety levels: A comparison with Western European banks |
38. |
02f0114 |
All – star analyst turnover, investment bank market share, and the performance of IPO |
39. |
04f0115 |
The PB-ROE valuation model revisited |
40. |
04f0116 |
Corporate financial disclosure on operational risk in the banking industry |
41. |
04f0117 |
Financial innovations, asset liquidity, and banking stability |
42. |
00f0118 |
Capital structure or debt tax shielding ratio? An empirical investigation for Belgian firms |