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  • Far from random using investor behavior and trend analysis to forecast market m.rar

    本附件包括:
    • Far from random using investor behavior and trend analysis to forecast market movement (Richard Lehman, Lawrence G. McMillan).pdf
  • 2.45 MB
  • 2024-8-29
  • AFA-2017-Part02.zip
       AFA

    本附件包括:
    • AFA2017-Flying Under the Radar_ The Effects of Short-Sale Disclosure Rules on Investor Behavior and Stock Prices.pdf
    • AFA2017-A Clash of Cultures_ The Governance and Valuation Effects of Multiple Corporate Cultures.pdf
    • AFA2017-A First Glimpse into the Short Side of Hedge Funds.pdf
    • AFA2017-Access to Credit and Stock Market Participation.pdf
    • AFA2017-Aggregate Effects of Collateral Constraints.pdf
    • AFA2017-Analyst Coverage Network and Corporate Financial.pdf
    • AFA2017-Anchoring and Acquisitions.pdf
    • AFA2017-Anomalies and News.pdf
    • AFA2017-Are CEOs Different_ Characteristics of Top Managers.pdf
    • AFA2017-Asset Encumbrance, Bank Funding, and Financial Fragility.pdf
    • AFA2017-Asset Management Within Commercial Banking Groups_ International Evidence.pdf
    • AFA2017-Bank Complexity and Risk Management_ Evidence from Operational Risk Events in U.S. Bank Holding Companies.pdf
    • AFA2017-Bank Culture.pdf
    • AFA2017-Bank Resolution and the Structure of Global Banks.pdf
    • AFA2017-Can Decentralized Markets Be More Efficient_.pdf
    • AFA2017-Can Paying Firms Quicker Affect Aggregate Employment_.pdf
    • AFA2017-Career Concerns and Strategic Effort Allocation by Analysts.pdf
    • AFA2017-Cash-flow timing vs. discount-rate timing_ A decomposition of mutual Fund.pdf
    • AFA2017-Centralized Trading, Transparency and Interest Rate Swap Market Liquidity_ Evidence from the Implementation of the Dodd-Frank Act.pdf
    • AFA2017-Compensation goals and firm performance.pdf
    • AFA2017-Competition and Innovation in the Presence of Financial Constraints.pdf
    • AFA2017-Competition, Reach for Yield, and Money Market Funds.pdf
    • AFA2017-Corporate Culture_ Evidence from the Field.pdf
    • AFA2017-Correlated High-Frequency Trading.pdf
    • AFA2017-Creditor Rights and Relationship Banking_ Evidence from a Policy Experiment.pdf
    • AFA2017-Cross-Currency Basis.pdf
    • AFA2017-Data Abundance and Asset Price Informativeness.pdf
    • AFA2017-Dividend Dynamics, Learning, and Expected Stock Index Returns.pdf
    • AFA2017-Do Bank Boards Focus Adequately On Risk_.pdf
    • AFA2017-Do Criminal Politicians affect Firm Investment and Value_ Evidence from a Regression Discontinuity Approach.pdf
    • AFA2017-Do High Frequency Traders Need to be Regulated_ Evidence from Trading on Macroeconomic Announcements.pdf
    • AFA2017-Do Personal Ethics Influence Corporate Ethics_.pdf
    • AFA2017-Does Central Bank Tone Move Asset Prices_.pdf
    • AFA2017-Does a Larger Menu Increase Appetite_ Collateral Eligibility and Bank Risk-Taking.pdf
    • AFA2017-Economic Uncertainty, Aggregate Debt, and the Real Effects of Corporate Finance.pdf
    • AFA2017-Endogenous Specialization and Dealer Networks.pdf
    • AFA2017-Entangled Risks in Incomplete FX Markets.pdf
    • AFA2017-Estimating Information Asymmetry in Securities Markets.pdf
    • AFA2017-Executive Job Matching_ Estimates from a Dynamic Model.pdf
    • AFA2017-Experimenting with Entrepreneurship_ The Effect of Job-Protected Leave.pdf
    • AFA2017-Fast Traders Make a Quick Buck_ The Role of Speed in Liquidity Provision.pdf
    • AFA2017-Financial Conglomerate Affiliation and Hedge Funds’ Countercyclical Risk Taking.pdf
    • AFA2017-Financial Intermediation in Private Equity_ How Well do Funds of Funds Perform_.pdf
    • AFA2017-Financing Payouts.pdf
    • AFA2017-Generalized Recovery.pdf
    • AFA2017-Good and Bad CEOs.pdf
    • AFA2017-How should investors respond to increases in volatility_.pdf
    • AFA2017-In-Group Bias in Financial Markets.pdf
    • AFA2017-Informed Trading and Option Prices_ Evidence from Activist.pdf
    • AFA2017-Innovation Waves, Investor Sentiment, and Mergers.pdf
    • AFA2017-Insider Purchases after Short Interest Spikes_ a False Signaling Device_.pdf
    • AFA2017-Institutional Herding and Its Price Impact_ Evidence from the Corporate Bond Market.pdf
    • AFA2017-Integrity Culture and Analyst Forecast Quality .pdf
    • AFA2017-Interfund lending in mutual fund families_ Role of internal capital markets.pdf
    • AFA2017-Intraday Trading Invariance in the E-mini S&P 500 Futures Market.pdf
    • AFA2017-It Depends on Where You Search_ A Comparison of Institutional and Retail Attention.pdf
    • AFA2017-Learning across Peer Firms and Innovation Waves.pdf
    • AFA2017-Macro Announcement Premium and Risk Preferences.pdf
    • AFA2017-Maximum likelihood estimation of the equity.pdf
    • AFA2017-Minimum Payments and Debt Paydown in Consumer Credit Cards.pdf
    • AFA2017-Multiple Equilibria in Noisy Rational Expectations Economies.pdf
    • AFA2017-Non-rating revenue and conflicts of interest.pdf
    • AFA2017-Oil Volatility RisK.pdf
    • AFA2017-One thorn of experience_ CEOs, strikes, and financial leverage.pdf
    • AFA2017-Opportunistic Proposals by Union Shareholders.pdf
    • AFA2017-Optimal Financing for R&D-intensive Firms.pdf
    • AFA2017-Parsing the Content of Bank Supervision.pdf
    • AFA2017-Patents as Substitutes for Relationships.pdf
    • AFA2017-Pay Now or Pay Later__ The Economics within the Private Equity Partnership.pdf
    • AFA2017-Pension Fund Board Composition and Investment Performance_ Evidence from Private Equity.pdf
    • AFA2017-Performance-Vesting Provisions in Executive Compensation .pdf
    • AFA2017-Private Equity’s Unintended Dark Side_ On the Economic Consequences of Excessive Delistings.pdf
    • AFA2017-Real Exchange Rates and Currency Risk Premia.pdf
    • AFA2017-Relative Pay for Non-Relative Performance_ Keeping up with the Joneses with Optimal Contracts.pdf
    • AFA2017-Rethinking Performance Evaluation.pdf
    • AFA2017-Risk Management in Financial Institutions.pdf
    • AFA2017-Robust Bond Risk Premia.pdf
    • AFA2017-Shareholder-Creditor Conflict and Payout Policy_ Evidence from Mergers between Lenders and Shareholders.pdf
    • AFA2017-Size Discovery.pdf
    • AFA2017-Skewness Consequences of Seeking Alpha.pdf
    • AFA2017-Slow Trading and Stock Return Predictability.pdf
    • AFA2017-Sovereign CDS Spreads with Credit Rating.pdf
    • AFA2017-Speed and Expertise in Stock Picking_ Older, Slower, and Wiser_ .pdf
    • AFA2017-Standing on the Shoulders of Giants_ The Effect of Passive Investors on Activism.pdf
    • AFA2017-Stock Market Coverage.pdf
    • AFA2017-Taking Orders and Taking Notes_ Dealer Information Sharing in Financial Markets.pdf
    • AFA2017-Term Structure of Interest Rates with Short-run and Long-run Risks.pdf
    • AFA2017-The Causal Effect of Limits to Arbitrage on Asset Pricing Anomalies.pdf
    • AFA2017-The Cross-Section of Subjective Bond Risk Premia.pdf
    • AFA2017-The Effect of Option-based Compensation on Payout Policy_ Evidence from FAS 123R.pdf
    • AFA2017-The Equity Premium and the One Percent.pdf
    • AFA2017-The Face of Risk_ CEO Testosterone and Risk Taking Behavior.pdf
    • AFA2017-The Impact of Sovereign Shocks.pdf
    • AFA2017-The Liquid Hand-to-Mouth_ Evidence from Personal.pdf
    • AFA2017-The Misguided Beliefs of Financial Advisors.pdf
    • AFA2017-The Momentum of News .pdf
    • AFA2017-The Term Structure of Implied Volatility and Volatility Risk Premia in the FX Market.pdf
    • AFA2017-The Value of Information for Contracting.pdf
    • AFA2017-The Value of Trading Relationships in Turbulent Times.pdf
    • AFA2017-The real effects of credit ratings_ Evidence from corporate asset sales.pdf
    • AFA2017-Time-Varying Crash Risk.pdf
    • AFA2017-Uncertainty, the Exchange Rate and International Capital Flows.pdf
    • AFA2017-Unemployment and Credit Risk.pdf
    • AFA2017-Variance Risk Premia on Stocks and Bonds.pdf
    • AFA2017-Weighted Least Squares Estimates of Return Predictability Regressions.pdf
    • AFA2017-What Drives Liquidity_ Identifying Shocks to Market Makers' Supply of Liquidity and Their Role in Economic Fluctuations.pdf
    • AFA2017-What's Behind the Smooth Dividends_ Evidence from Structural Estimation.pdf
    • AFA2017-When Do Laws and Institutions Affect Recovery Rates on Collateral_.pdf
    • AFA2017-Where the Heart Is_ Information Production and the Home Bias.pdf
    • AFA2017-Wholesale Funding Runs.pdf
    • AFA2017-Why does fast loan growth predict poor performance for banks_ .pdf
  • 77.41 MB
  • 2016-12-30
  • postmodern portfolio theory navigating abnormal markets and investor behavior (2016).rar
       postmodern portfolio theory navigating abnormal markets and investor behavior (2016)

    本附件包括:
    • postmodern portfolio theory navigating abnormal markets and investor behavior (2016).pdf
  • 3.43 MB
  • 2016-11-26
  • Postmodern Portfolio Theory_Navigating Abnormal Markets and Investor Behavior.zip

    本附件包括:
    • Postmodern Portfolio Theory_Navigating Abnormal Markets and Investor Behavior.pdf
    • Postmodern Portfolio Theory_Navigating Abnormal Markets and Investor Behavior.epub
  • 5.35 MB
  • 2016-11-26
  • Futures Market Sentiment and Institutional Investor Behavior in the Spot Market .rar

    本附件包括:
    • Futures Market Sentiment and Institutional Investor Behavior in the Spot Market The Emerging Market in Taiwan.pdf
  • 284.47 KB
  • 2015-8-24
  • journal of finance APRIL 2014.rar

    本附件包括:
    • Using Neural Data to Test a Theory of Investor Behavior An Application to Realization Utility (pages 907–946).pdf
    • Sequential Learning, Predictability, and Optimal Portfolio Returns (pages 611–644).pdf
    • Sovereign Default, Domestic Banks, and Financial Institutions (pages 819–866).pdf
    • The Importance of Industry Links in Merger Waves (pages 527–576).pdf
    • The Real Effects of Government-Owned Banks Evidence from an Emerging Market (pages 577–609).pdf
    • Twin Picks Disentangling the Determinants of Risk-Taking in Household Portfolios (pages 867–906).pdf
    • Why Do Firms Evade Taxes The Role of Information Sharing and Financial Sector Outreach (pages 763–817).pdf
    • A Theory of Debt Maturity The Long and Short of Debt Overhang (pages 719–762).pdf
    • Are Analysts’ Recommendations Informative Intraday Evidence on the Impact of Time Stamp Delays (pages 645–673).pdf
    • Growth Opportunities, Technology Shocks, and Asset Prices (pages 675–718).pdf
    • Managerial Incentives and Stock Price Manipulation (pages 487–526).pdf
    • Self-Fulfilling Liquidity Dry-Ups (pages 947–970).pdf
  • 6.28 MB
  • 2014-10-16
  • 罗伯特席勒22篇经典论文.zip

    本附件包括:
    • Market Volatility and Investor Behavior.pdf
    • Behavioral Economics and Institutional Innovation.pdf
    • Bubbles, Human Judgment, and Expert Opinion.pdf
    • Comparing Information in Forecasts from Econometric Models.pdf
    • Conversation, Information, and Herd Behavior.pdf
    • Do Stock Prices Move Too Much to be Justified by Subsequent Changes in Dividends.pdf
    • From Efficient Markets Theory to Behavioral Finance.pdf
    • Portfolio Insurance and Other Investor Fashions as Factors in the 1987 Stock Market Crash.pdf
    • Public Resistance to Indexation-A Puzzle.pdf
    • Smoothness Priors and Nonlinear Regression.pdf
    • Social Security and Individual Accounts as Elements of Overall Risk-Sharing.pdf
    • Speculative Prices and Popular Models.pdf
    • Stock Prices and Social Dynamics.pdf
    • Stock Prices, Earnings, and Expected Dividends.pdf
    • The Informational Content of Ex Ante Forecasts.pdf
    • The Marsh-Merton Model of Managers' Smoothing of Dividends.pdf
    • The Significance of Market Portfolio.pdf
    • The Use of Volatility Measures in Assessing Market Efficiency.pdf
    • The dividend-price ratio and expectations of future dividends and discount factors.pdf
    • Ultimate Sources of Aggregate Variability.pdf
    • cointegration and tests of PV models.pdf
    • stock prices earnings and expected dividends.pdf
  • 21.91 MB
  • 2014-9-12
  • Price volatility and investor behavior in an overlapping generations model with .rar

    本附件包括:
    • Price volatility and investor behavior in an overlapping generations model with information asymmetry.pdf
  • 403.92 KB
  • 2013-3-1
  • Top 10 most-read articles for Journal of Financial and Quantitative Analysis in 2010.rar

    本附件包括:
    • An Epidemic Model of Investor Behavior.pdf
    • Clientele Change, Liquidity Shock, and the Return on Financially Distressed Stocks.pdf
    • Do Firms Target Credit Ratings or Leverage.pdf
    • How Does Liquidity Affect Government Bond Yields.pdf
    • Is There Shareholder Expropriation in the United States An Analysis of Publicly Traded Subsidiaries.pdf
    • Predicting Global Stock Returns.pdf
    • Predicting Hedge Fund Failure A Comparison of Risk Measures.pdf
    • Stock and Bond Market Liquidity A Long-Run Empirical Analysis.pdf
    • The Determinants of Credit Default Swap Premia.pdf
    • The Information Content of Idiosyncratic Volatility.pdf
  • 2.24 MB
  • 2011-2-10
  • neurofinance.rar

    本附件包括:
    • Neurofinance_Bridging Psychology Neurology and Investor Behavior.pdf
    • The Influence of Affect on Beliefs Preferences and Financial Decisions.pdf
    • The Neural Basis of Financial Risk Taking.pdf
  • 671.13 KB
  • 2010-7-28
  • 333075.rar
       [下载][分享]MICROSCOPIC SIMULATION OF FINANCIAL MARKETS:From Investor Behavior to Market

    本附件包括:
    • 0124458904.pdf
  • 1.84 MB
  • 2009-6-3
  • 51836.rar

    本附件包括:
    • The Limits of Investor Behavior.pdf
    • Empirical Evidence on Capital.pdf
    • The Price Impact and Survival.pdf
    • Investment and Financing Constraints.pdf
    • What Works in Securities laws.pdf
    • The Cross-Section of Volatility.pdf
    • Competing for Securities Underwriting.pdf
    • Initial Public Offerings An Analysis.pdf
    • Finance as a Barrier to.pdf
    • Wealth and Executive Compensation.pdf
    • Investor Tax Heterogeneity and Ex-Dividend.pdf
    • Asset Pricing Implications of Nonconvex.pdf
  • 2.88 MB
  • 2006-5-8
  • 51800.rar

    本附件包括:
    • The Limits of Investor Behavior.pdf
    • Empirical Evidence on Capital.pdf
    • Fama French factor model.pdf
    • Favoritism in Mutual Fund.pdf
    • Finance as a Barrier to.pdf
    • Information Uncertainty and Stock Returns.pdf
    • Initial Public Offerings An Analysis.pdf
    • Investment and Financing Constraints.pdf
    • Investor Tax Heterogeneity and Ex-Dividend.pdf
    • The Cross-Section of Volatility.pdf
    • The Price Impact and Survival.pdf
    • The Rise And Transformation Of The Chief Risk Officer.pdf
    • Wealth and Executive Compensation.pdf
    • What Works in Securities laws.pdf
    • Competing for Securities Underwriting.pdf
    • Convertible Bonds Valuation and Optimal Strategies for Call and Conversion.pdf
  • 7.6 MB
  • 2006-5-8
  • 42018.rar
       最新The Journal of Finance (February 2006 - Vol. 61 Issue 1 Page i-492)

    本附件包括:
    • 8-The Limits of Investor Behavior.pdf
    • 6-Empirical Evidence on Capital Investment, Growth Options, and Security Returns.pdf
    • 9-The Cross-Section of Volatility and Expected Returns.pdf
    • 10-Competing for Securities Underwriting Mandates--Banking Relationships and Analyst Recommendations.pdf
    • 11-Unspanned Stochastic Volatility-- Evidence from Hedging Interest Rate Derivatives.pdf
    • 12-Wealth and Executive Compensation.pdf
    • 13-Initial Public Offerings-- An Analysis of Theory and Practice.pdf
    • 14-Finance as a Barrier to Entry-- Bank Competition and Industry Structure in Local U.S. Markets.pdf
    • 15-Investor Tax Heterogeneity and Ex-Dividend Day Trading Volume.pdf
    • 16-MISCELLANEA.pdf
    • 1-What Works in Securities Laws.pdf
    • 2-Investment and Financing Constraints-- Evidence from the Funding of Corporate Pension Plans.pdf
    • 3-Favoritism in Mutual Fund Families- Evidence on Strategic Cross-Fund Subsidization.pdf
    • 4-Information Uncertainty and Stock Returns.pdf
    • 5-Asset Pricing Implications of Nonconvex Adjustment Costs and Irreversibility of Investment.pdf
    • 7-The Price Impact and Survival of Irrational Traders.pdf
  • 4.97 MB
  • 2006-3-6
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