Showing results 8 to 13 of 13
Default and liquidity regimes in the bond market during the 2002-2012 period Dionne, Georges; Maalaoui, Olfa, CANADIAN JOURNAL OF ECONOMICS-REVUE CANADIENNE D ECONOMIQUE, v.46, no.4, pp.1160 - 1195, 2013-11 |
Detecting Regime Shifts in Credit Spreads Chun, Olfa Maalaoui; Dionne, Georges; Francois, Pascal, JOURNAL OF FINANCIAL AND QUANTITATIVE ANALYSIS, v.49, no.5-6, pp.1339 - 1364, 2014-10 |
Do main banks extract rents from their client firms? Evidence from Korean Chaebol Kim, KY; Park, Kwangwoo; Ratti, RA; Shin, HH, HITOTSUBASHI JOURNAL OF ECONOMICS, v.45, no.1, pp.15 - 45, 2004 |
Economic shock, owner-manager incentives, and corporate restructuring: Evidence from the financial crisis in Korea Kang, Jun-Koo; Lee, Inmoo; Na, Hyun Seung, JOURNAL OF CORPORATE FINANCE, v.16, no.3, pp.333 - 351, 2010-06 |
Is the zero-leverage policy value-enhancing? Jiang, Wenwen; Kang, Jangkoo; Kim, Hwa-Sung, The Quarterly Review of Economics and Finance, v.93, pp.176 - 189, 2024-02 |
Timing, investment opportunities, managerial discretion, and the security issue decision Jung, Kooyul; Kim, YC; Stulz, RM, JOURNAL OF FINANCIAL ECONOMICS, v.42, no.2, pp.159 - 185, 1996-10 |
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