Unfolding the spatial architecture of the East Asian financial crisis: the organizational response of global investment banks
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Do investment banks compete in IPOs?: the advent of the “7% plus contract”
Investment bank reputation and relaxed listing requirements: Evidence from infrastructure firm IPOs in Hong Kong
Debt underwriting by commercial bank-affiliated firms and investment banks: More evidence
Acquisition premiums when investment banks invest their own money in the deals they advise and when they do not: Evidence from acquisitions of assets in the UK
High-tech acquisitions, firm specific characteristics and the role of investment bank advisors
Buys, holds, and sells: The distribution of investment banks’ stock ratings and the implications for the profitability of analysts’ recommendations
When outsourcing is not an option: International relocation of investment bank research — Or isn't it?
Comparing the stock recommendation performance of investment banks and independent research firms
The networking function of investment banks: Evidence from private investments in public equity
What do investment banks charge to underwrite American Depositary Receipts?
Premium, merger fees and the choice of investment banks: A simultaneous analysis
Investment bank reputation and shareholder wealth effects in mergers and acquisitions
Managerial rights, use of investment banks, and the wealth effects for acquiring firms’ shareholders
Investment banks' stock ratings, call warrant issuance, and responses from heterogeneous investors: Evidence from Taiwan
Do investment banks listen to their own analysts?
Financing utilities: How the role of the European Investment Bank shifted from regional development to making markets
On Sharia’a-compliance, positive assortative matching, and return to investment banking
What drives investment bank performance? The role of risk, liquidity and fees prior to and during the crisis
Investment banks as intermediaries in asset sell-offs
What determines the market share of investment banks in Chinese domestic IPOs? ☆
On the uniformity of investment banking spreads: the seven percent solution is not unique
Does institutional reform improve the impact of investment bank reputation on the long-term stock performance of initial public offerings?
Information problems, conflicts of interest, and asset stripping:: Chapter 11's failure in the case of Eastern Airlines1
Measurement of the performance of an investment bank using the operational competitiveness rating procedure
Commercial banks in investment banking conflict of interest or certification role?
On the compensation implications of commercial bank entry into investment banking
Deregulation in investment banking: Industry concentration following Rule 415
Modelling the effect of the geographical environment on Islamic banking performance: A panel quantile regression analysis
Relationship quality as an antecedent of customer relationship proneness: A cross-cultural study between Spain and Mexico
Bank rescues and bailout expectations: The erosion of market discipline during the financial crisis
Tax avoidance and cost of debt: The case for loan-specific risk mitigation and public debt financing
Liquidity and macroeconomic management in emerging markets
Debt market friction, firm-specific knowledge capital accumulation and macroeconomic implications
The role of financial shocks in business cycles with a liability side financial friction
Inventory growth cycles with debt-financed investment
Foreign entry and bank competition on financial products in China: A model of bank size
Hidden gems and borrowers with dirty little secrets: Investment in soft information, borrower self-selection and competition
Diversified Investments of Wealthy Ethiopian Pastoralists Include Livestock and Urban Assets That Better Manage Risk
Do enterpriseâbank relationships improve market quality? Evidence from Taiwan
Exchange rate uncertainty and firm investment plans evidence from Swiss survey data
Are countries ready for the new meso revolution? Testing the waters for new industrial change in Korea
Economic stability under alternative banking systems: Theory and policy
To what extent did the economic stimulus package influence bank lending and corporate investment decisions? Evidence from China
The multiple roles of state investment banks in low-carbon energy finance: An analysis of Australia, the UK and Germany
Valuing co-benefits to make low-carbon investments in cities bankable: The case of waste and transportation projects
The transmission of monetary policy through bank lending: The floating rate channel
Control of corruption, international investment, and economic growth Evidence from panel data
Financing renewable energy: Who is financing what and why it matters
The effect of relationships with government-owned banks on cash flow constraints: Evidence from India
Is optimal Islamic financial contract stabilizing? The perspective of a New Keynesian model with the financial accelerator
Bank networks: Contagion, systemic risk and prudential policy
Does foreign bank penetration affect the risk of domestic banks? Evidence from emerging economies
Effects of foreign acquisitions on financial constraints, productivity and investment in R&D of target firms in China
A contingency theory of entrepreneurial debt governance
Accounting for banks, capital regulation and risk-taking
Do bank-appointed directors affect corporate cash holding?
Bank systemic risk and corporate investment: Evidence from the US
Measurement of the displaced commercial risk in Islamic Banks
The mitigating effect of bank financing on shareholder value and firm policies following rating downgrades
Non-linearity in the finance-growth nexus: Evidence from Indonesia
Credit risk interconnectedness: What does the market really know?
Are concentrated banks better informed than diversified ones?
A new approach to jointly estimating the Lerner index and cost efficiency for multi-output banks under a stochastic meta-frontier framework
International financial integration of East Asia and Pacific