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Journal of Finance, 2022年第2期

[发布日期]:2022-05-10  [浏览次数]:

目录

The Fragility of Market Risk Insurance
市场风险的脆弱性保险
Predictable Financial Crises
可预测金融危机
Late to Recessions: Stocks and the Business Cycle
晚衰退:股票和商业周期
Monetary Policy and Asset Valuation
货币政策和资产估值
Payment System Externalities
支付系统外部性
Volatility Expectations and Returns
期望和收益波动
Dissecting Conglomerate Valuations
剖析企业估值
Common Risk Factors in Cryptocurrency
加密货币中常见的危险因素
Do Market Prices Improve the Accuracy of Court Valuations in Chapter 11?
做市场价格提高法院在11章估值的准确性?
Regulation of Charlatans in High‐Skill Professions
调节高技能职业的江湖骗子
Going the Extra Mile: Distant Lending and Credit Cycles
额外的一英里:遥远的贷款和信贷周期
Liquidity Fluctuations in Over‐the‐Counter Markets
在场外交易市场流动性的波动
Do Equity Markets Care about Income Inequality? Evidence from Pay Ratio Disclosure
股票市场关心收入不平等吗?支付比例的证据披露


原文链接:https://onlinelibrary.wiley.com/toc/15406261/2022/77/2

翻译:有道翻译
整理者:冯盼盼

 



上一条:Journal of Financial Economics,Volume 144, Issue 1,April 2022, Pages 1-21 下一条:Journal of Finance, 2022年第1期

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