Corporate credit ratings: Selection on size or productivity?
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Sovereign ratings: determinants and policy implications for india
The reputational effects of analysts' stock recommendations and credit ratings: Evidence from operational risk announcements in the financial industry
ARE THE FAMA-FRENCH FACTORS REALLY COMPENSATION FOR DISTRESS RISK?
The influence of rating levels and rating convergence on the spillover effects of sovereign credit actions
Life cycle costing for obtaining concrete credits in green star rating system in Australia
Credit risk migration rates modeling as open systems: A micro-simulation approach
A comprehensive view on risk reporting: Evidence from supervisory data
The mitigating effect of bank financing on shareholder value and firm policies following rating downgrades
Midpoint and endpoint impact categories in Green building rating systems
Corporate performance of the Seven Brothers of the European energy market: Then there were five
Intraday dynamics of credit risk contagion before and during the euro area sovereign debt crisis: Evidence from central Europe
Detecting abnormal changes in credit default swap spreads using matching-portfolio models
Effect of capitalizing operating leases on credit ratings: Evidence from Japan
Location still matters: Evidence from an online shopping field experiment
Are Chinese credit ratings relevant? A study of the Chinese bond market and credit rating industry
Sovereign credit rating determinants under financial crises
Reputational shocks and the information content of credit ratings
The human-like intelligence with bio-inspired computing approach for credit ratings prediction
New evidence on sovereign to corporate credit rating spill-overs
Do credit rating agencies provide valuable information in market evaluation of sovereign default Risk?
From state to system: Financialization and the water-energy-food-climate nexus
Accounting discretion and executive cash compensation: An empirical investigation of corporate governance, credit ratings and firm value
Performance-based payment scheme to hedge against credit rating inflation
Corporate choice between conventional bond and Sukuk issuance evidence from GCC countries
Scoring sensor observations to facilitate the exchange of space surveillance data
Comovement or safe haven? The effect of corruption on the market risk of sovereign bonds of emerging economies during financial crises
Are managers paid for better levels of pension funding?
The impact of sovereign rating changes on the activity of European banks
Information asymmetry and investor trading behavior around bond rating change announcements
How does managerial opportunism affect the cost of debt financing?
The impact of e-service offerings on the demand of online customers
Risk-sharing and student loan policy: Consequences for students and institutions
Debt composition and lax screening in the corporate bond market
Inventory dynamics in process industries: An empirical investigation
Coordinating contracts for a financially constrained supply chain
Time-varying continuous and jump betas: The role of firm characteristics and periods of stress
Liquidity basis between credit default swaps and corporate bonds markets
Does the disclosure of unsolicited sovereign rating status affect bank ratings?
Rating deflation versus inflation: On procyclical credit ratings
Sovereign credit ratings and bank funding cost: Evidence from Africa
Key credit criteria among international green building rating tools
Reading between the ratings: Modeling residual credit risk and yield overlap
Sovereign credit rating determinants: A comparison before and after the European debt crisis
Do bond credit ratings lead to excess comovement?
Economic policy uncertainty and sovereign credit rating decisions: Panel quantile evidence for the Eurozone
The value of credit rating changes across economic cycles
Do operating leases expand credit capacity? Evidence from borrowing costs and credit ratings
How credit ratings affect sovereign credit risk: Cross-border evidence in Latin American emerging markets
Competition in the credit rating Industry: Benefits for investors and issuers
The (little) difference that makes all the difference between Islamic and conventional bonds
Internal control weakness, investment and firm valuation
Exploring rating shopping for european triple a senior structured finance securities
Debt correlations in the wake of the financial crisis: What are appropriate default correlations for structured products?
The impact of sovereign rating changes on European syndicated loan spreads: The role of the rating-based regulation
Research paperAn experimental investigation of rating-market regulation
Managing earnings using classification shifting: UK evidence
What determines the Japanese corporate credit spread? A new evidence
Full length articleWhat explains corporate sukuk primary market spreads?
Self-fulfilling dynamics: The interactions of sovereign spreads, sovereign ratings and bank ratings during the euro financial crisis
Does having a credit rating leave less money on the table when raising capital? A study of credit ratings and seasoned equity offerings in China
Do credit rating concerns lead to better corporate governance? Evidence from Korea ☆