Search

Add filters:

Use filters to refine the search results.


Results 231-240 of 443.
Year of PublicationTitleAuthor(s)
2021CEO compensation in Korea: Is it different than in the US? A comparison between Korean non-life insurance firms and US property-liability insurance firmsHan, Sangyong; Mun, Hyejeong
2019Hedge fund performance during and after the crisis: A comparative analysis of strategies 2007-2017Metzger, Nicola; Shenai, Vijay
2020Compensations of top executives and M&A behaviors: An empirical study of listed companiesXue, Jiao; Fan, Heng; Dong, Zhanxun
2021Analysis of volatility volume and open interest for Nifty Index futures using GARCH analysis and VAR modelDungore, Parizad Phiroze; Patel, Sarosh Hosi
2019Financial variables, market transactions, and expectations as functions of riskOlkhov, Victor
2017An empirical examination of the incremental contribution of stock characteristics in UK stock returnsFletcher, Jonathan
2020Evaluation of the reverse mortgage option in Korea: A long straddle perspectiveChoi, Kyung Jin; Lim, Byungkwon; Park, Jaehwan
2015Special issue: Recent developments in finance and banking after the 2008 CrisisApergis, Nicholas; Payne, James Earl
2015The effect of coporate governance elements on corporate social responsibility (CSR) disclosure: An empirical evidence from listed companies at KSE PakistanMajeed, Sadia; Aziz, Tariq; Saleem, Saba
2019Does death anxiety moderate the adequacy of retirement savings? Empirical evidence from 40-plus clients of Spanish financial advisory firmsGarmendia, Pablo; Topa, Gabriela; Herrador, Teresa; Hernández, Montserrat