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The relation between changes in the information content of earnings and expected stock returns: Empirical evidence for Japan
(2012)
This paper examines the relationship between changes in the information content of earnings with expected stock returns for the Japanese market during the period of 1991-2001. Results show that a mimicking portfolio return ...
Investment options with debt-financing constraints
(2012)
A contingent claims model is used to study the impact of debt-financing constraints on firm value, optimal capital structure, the timing of investment and other variables, such as credit spreads. The optimal investment ...
Sovereign debt rating changes and the stock market
(Centre for Economic Policy Research, 2012)
Δημιουργική Κύπρος : πολιτική μεταρρύθμιση για την Κύπρο του 21ου αιώνα
(Παπαζήσης, 2012)
Preface
(2012)