Browsing Τμήμα Λογιστικής και Χρηματοοικονομικής / Department of Accounting and Finance by Submit Date
Now showing items 21-40 of 439
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Conference Object
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Article
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Book Chapter
Controlling Currency Risk with Options or Forwards
(Springer, 2007)
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Article
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Article
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Book
Applied mathematical programming and modeling IV (APMOD 98)
(Kluwer Academic, 2001)
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Working Paper Open Access
Portfolio diversification in the sovereign credit swap markets
(Springer, 2017-05)We develop models for portfolio diversification in the sovereign credit default swap (CDS) markets and show that, despite literature findings that sovereign CDS spreads are affected by global factors, there is sufficient ...
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Working Paper Open Access
State Contingent Debt as Insurance for Euro-Area Sovereigns
(2018-04)The euro-area sovereign debt crisis is receding. Europe is on a recovery path, growth is broad-based and unemployment is falling. One after the other, countries hit hardest by the crisis are exiting their adjustment ...
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Article
An empirical analysis of changes in the relative timeliness of issuer-paid vs. investor-paid ratings
(2019)We investigate the lead-lag relationships between issuer-paid and investor-paid credit rating agencies (CRAs), after the regulatory reforms in the U.S. (2002–2006) also including outlooks. Over our sample period, ratings ...
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Article
The need for cash flow reporting: Greek evidence
(1990)This study provides empirical evidence on the extent to which Cash Flow From Operations (CFFO) are not proxied by more traditional measures of performance such as Operating Net Income (OPNI) and Working Capital From ...
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Article
Loss evaluation and total ownership cost of power transformers-part I: A comprehensive method
(2013)
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Book
Size and book-to-market factors in earnings and stock returns: empirical evidence for Japan
(2004)
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Book
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Book
Financial optimization
(Cambridge University Press, 1999)
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Book
Quantitative methods, super computers and AI in finance
(Stanley Thornes in association with UNICOM, 1995)
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Article
Dividend increases and initiations and default risk in equity returns
(2011)This study extends the Grullon, Michaely, and Swaminathan (2002) analysis by incorporating default risk. Using data for firms that either increased or initiated cash dividend payments during the 23-year period 1986-2008, ...
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Book
Project flexibility, agency, and competition: new developments in the theory and application of real options
(Oxford University Press, 2000)
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Article
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Article
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Book