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Journal of Banking and Finance 2020年第01期

[发布日期]:2020-03-02  [浏览次数]:

目录
Election uncertainty, economic policy uncertainty and financial market uncertainty: A prediction market analysis
选举不确定性、经济政策不确定性和金融市场不确定性:市场预测分析
Gender differences in the repayment of microcredit: The mediating role of trustworthiness
小额信贷还款中的性别差异:诚信的中介作用
Customer-Supplier relationships and the cost of debt
客商关系与债务成本
How a pre-IPO audit committee improves IPO pricing efficiency in an economy with little value uncertainty and information asymmetry
上市前审计委员会在价值不确定性和信息不对称条件下如何提高IPO定价效率
Shareholder investment horizons and bank debt financing
股东投资视野与银行债务融资
Sparse portfolio selection via the sorted ℓ1-Norm
基于ℓ1-Norm的稀疏投资组合选择
Portfolio selection with mental accounts: An equilibrium model with endogenous risk aversion
有心理账户的投资组合选择:一个内生风险厌恶的均衡模型 

原文链接:
https://www.sciencedirect.com/journal/journal-of-banking-and-finance/vol/110/suppl/C 

翻译者:侯思远



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