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Advanced Search Results For "Finance"

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 "Finance"
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ХАРАКТЕРИСТИКИ КОРПОРАТИВНОГО УПРАВЛЕНИЯ И ИНВЕСТИЦИОННАЯ АКТИВНОСТЬ КОМПАНИЙ

Publication Type:Academic Journal

Source(s):Finance & Credit. Jun2022, Vol. 28 Issue 6, p1255-1287. 33p.

Abstract:Предмет. Характеристики корпоративного управления и детерминанты инвестиций компаний. Цели. Исследование взаимосвязи между характеристиками корпоративного управления и уровнем инвестиционной активности компании, определение зависимости между инвестиция...

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Internationalizing Like China.

Publication Type:Report

Source(s):Working Papers (Faculty) -- Stanford Graduate School of Business. 2022, Preceding p1-70. 71p.

Abstract:We empirically characterize how China is internationalizing the Renminbi by selectively opening up its domestic bond market and propose a dynamic reputation model to explain China's internationalization strategy. While previously closed to foreign inve...

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What Do Mutual Fund Investors Really Care About?

Publication Type:Academic Journal

Source(s):Review of Financial Studies; Apr2022, Vol. 35 Issue 4, p1723-1774, 52p

Abstract:Copyright of Review of Financial Studies is the property of Oxford University Press / USA and its content may not be copied or emailed to multiple sites or posted to a listserv without the copyright holder's express written permission. However, users m...

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Influence of the Risk Reward Profile and of the Colour of Disclosure Documents on Attractiveness Perception of Mutual Fund Products.

Publication Type:Academic Journal

Source(s):Journal of Financial Regulation. Apr2022, Vol. 8 Issue 1, p132-137. 6p.

Abstract:This study investigates the influence of features of the mutual fund product and of the disclosure document on financial decision making. Using a laboratory setting, we show that the higher the risk and reward profile (RRP) of the product, the poorer t...

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An empirical study on influential factor of investors' investment towards futures and options trading in India.

Publication Type:Conference

Source(s):AIP Conference Proceedings. 5/19/2022, Vol. 2393 Issue 1, p1-5. 5p.

Abstract:The investor's understanding about their investment towards various avenues have been changed in past few decades. The investor in the early days use to invest in fixed deposits and recurring deposits and later when the mutual funds were introduced man...

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Luxembourg and Ireland in global financial networks: Analysing the changing structure of European investment funds.

Publication Type:Academic Journal

Source(s):Transactions of the Institute of British Geographers. Jun2022, Vol. 47 Issue 2, p514-528. 15p.

Abstract:Using a unique database on investment funds and the conceptual framework of global financial networks, this paper examines the spatial structure of the European investment fund industry, with particular focus on Luxembourg and Ireland. Grounded in fina...

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Leverage constraints and corporate financing decisions.

Publication Type:Academic Journal

Source(s):Accounting & Finance. Dec2021, Vol. 61 Issue 4, p5199-5230. 32p. 8 Charts, 1 Graph.

Abstract:We examine the impact of investors' leverage constraints on corporate financing decisions. We use mutual fund flow to capture the net buying pressure from leverage‐constrained investors' demand for high‐beta stocks. We show that firms confronted by the...

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Unintended Consequences of Corporate Bond ETFs: Evidence from the Taper Tantrum.

Publication Type:Academic Journal

Source(s):Review of Financial Studies; Jan2022, Vol. 35 Issue 1, p51-90, 40p

Abstract:Copyright of Review of Financial Studies is the property of Oxford University Press / USA and its content may not be copied or emailed to multiple sites or posted to a listserv without the copyright holder's express written permission. However, users m...

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The Ownership Complaint Gap: Mutual versus Stock Intermediaries.

Publication Type:Academic Journal

Source(s):Journal of Financial & Quantitative Analysis. Aug2020, Vol. 55 Issue 5, p1685-1715. 31p.

Abstract:We document a substantial customer complaint gap between stock and mutual financial firms. To assess whether this 21% per year complaint gap stems from complaint-prone customers in stock insurers, we examine state-adjudicated complaint success. To furt...

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Get the Right Mix of Bonds.

Publication Type:Periodical

Source(s):Kiplinger's Personal Finance. Oct2020, Vol. 74 Issue 10, p26-30. 4p. 1 Color Photograph, 1 Chart, 3 Graphs.

Abstract:INVESTING PORTFOLIO TIME WAS, RETIREES COULD GENERATE enough income from safe-haven bond investments to cover living expenses. Bonds to avoid: High-yield corporate debt (IOUs issued by companies with credit ratings from double-B down to single-C), bank...

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