52 |
[vol36 no4] The Effects of Market Liberalizations on Return,Risk, and Co&#8211``movement of China’s A&#8211`` and B&#8211``Share Stock Markets
|
KSA |
2007.10.28 |
938 |
51 |
[vol36 no3] The Pricing of Underwriting Services in the Korean IPO Market: Characteristics and Determinants
|
KSA |
2007.10.28 |
992 |
50 |
[vol36 no3] The Cost of Debt Capital and Corporate Governance Practices
|
KSA |
2007.10.28 |
916 |
49 |
[vol36 no3] Beyond Earnings Surprise: Incremental Information About Future Earnings Around Earnings Announcement
|
KSA |
2007.10.28 |
1007 |
48 |
[vol36 no3] Trade Credit and IPO Underpricing
|
KSA |
2007.10.28 |
775 |
47 |
[vol36 no3] Asymmetric Long Memory Feature in the Volatility of Asian Stock Markets
|
KSA |
2007.10.24 |
925 |
46 |
[vol36 no2] Types of Investors’ Trading Activities and Stock Market Volatility
|
KSA |
2007.10.24 |
1029 |
45 |
[vol36 no2] Historical Credit Portfolio Loss Distribution:Using Expected Default Frequency
|
KSA |
2007.10.24 |
868 |
44 |
[vol36 no2] Weekly Behavior of KOSPI200 Around the Expiration Day of KOSPI200 Derivatives
|
KSA |
2007.10.24 |
911 |
43 |
[vol36 no2] Controlling Effects of Corporate Bonds Grading System on Earnings Management
|
KSA |
2007.10.24 |
1010 |