421 |
[vol48 no3] What Drives China’s 2015 Stock Market Surges and Turmoil?
|
KSA |
2019.07.01 |
34 |
420 |
[vol48 no2] The Media and the Financial Markets: A Review
|
KSA |
2019.05.02 |
52 |
419 |
[vol48 no2] CRA Reputation and Bond Yield: Evidence from the Chinese Bond Market
|
KSA |
2019.05.02 |
42 |
418 |
[vol48 no2] Does Confucianism Reduce Corporate Over-Investment? Evidence from China
|
KSA |
2019.05.02 |
40 |
417 |
[vol48 no2] Preference for Appearance over Substance and Corporate Investment
|
KSA |
2019.05.02 |
45 |
416 |
[vol48 no2] Geopolitical Risk and Trading Patterns of Foreign and Domestic Investors: Evidence from Korea
|
KSA |
2019.05.02 |
49 |
415 |
[vol48 no1] Understanding Corporate Governance Through Learning Models of Managerial Competence
|
KSA |
2019.02.28 |
79 |
414 |
[vol48 no1] Can Socially Responsible Investments Be Compatible with Financial Performance? A Meta-analysis
|
KSA |
2019.02.28 |
62 |
413 |
[vol48 no1] Business Group Affiliation, Internal Labor Markets, External Capital Markets, and Labor Investment Efficiency
|
KSA |
2019.02.28 |
56 |
412 |
[vol48 no1] Asymmetric Investor Reaction around Earnings Benchmark under Economic Uncertainty
|
KSA |
2019.02.28 |
45 |