23 |
[vol35 no4] Pre–trade Information and Price Discovery
|
KSA |
2007.10.24 |
1093 |
22 |
[vol35 no4] On the Usefulness of Risk–Neutral Distribution Implied in the KOSPI 200 Index Option
|
KSA |
2007.10.24 |
716 |
21 |
[vol35 no4] The Risk of Earnings Information Uncertainty and the January Effect in Korean Stock Markets
|
KSA |
2007.10.24 |
848 |
20 |
[vol35 no4] Investments in Long–term Operating Assets and Future Abnormal Earnings
|
KSA |
2007.10.24 |
1067 |
19 |
[vol35 no4] On the Herding Behavior of Fund Managers in the Korean Stock Market
|
KSA |
2007.10.24 |
954 |
18 |
[vol35 no3] Comparative Analysis of Portfolio Risk Measures based on EVT-Copula Approach during Financial Crises
|
KSA |
2007.10.24 |
831 |
17 |
[vol35 no3] Underpricing of IPOs and Underwriters’ Market Making Activities
|
KSA |
2007.10.24 |
817 |
16 |
[vol35 no3] Small Sample Size Problems and the Power of the Test in the Event Study Methodology
|
KSA |
2007.10.24 |
1106 |
15 |
[vol35 no3] The Impact of the Investors Trading Behavior on the Return and the Volatility in the Recent Korean Stock Market
|
KSA |
2007.10.24 |
1077 |
14 |
[vol35 no3] Analyses on Performance by Different Types of Investors in Korean Stock Market
|
KSA |
2007.10.24 |
873 |