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- 2017
-
Mark
Institutional Portfolios and M&A Returns
(
- Master (One yr)
-
Mark
Trading Behaviour of Individual Investors
(
- Master (One yr)
-
Mark
On Dynamic Risk Management - Investigating the Theory of Collateral Constraints
(
- Master (Two yrs)
-
Mark
Stock Repurchases and their Effect on Idiosyncratic Stock Price Volatility: A Difference in Difference Study*
(
- Master (One yr)
- 2016
-
Mark
Does EVA Beat Earnings After the Adoption of IFRS?
(
- Master (One yr)
-
Mark
The Impact of Risk Disclosure on the Volatility of Stock Returns. A Content Analysis of Corporate Risk Disclosure in Annual Reports of Automotive Manufacturers
(
- Master (One yr)
-
Mark
The Economic Cycle’s Effect on IPOs
(
- Master (One yr)
-
Mark
Investigation of the Relationship between M&A and Corporate Hedge
(
- Master (One yr)
-
Mark
Dividend Signals and Voluntary Disclosure
(
- Master (One yr)
-
Mark
Earnings Management and the Cost of Publicly Issued Debt
(
- Master (One yr)