Trading externalities and new equity issues in emerging markets
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Rule of law and balance of power sustain US dollar preeminence
Firm resources, cultural distance and simultaneous international expansion in the retail sector
Macrofinancial imbalances in historical perspective: A global crisis index
Cross-country determinants of ownership choices in cross-border acquisitions: Evidence from emerging markets
Organizational slack as an enabler of internationalization: The case of large Brazilian firms
The benefits of international diversification with weight constraints: A cross-country examination
A wavelet analysis of co-movements in Asian gold markets
Regular paths in financial markets: Investigating the Benford's law
Market integration and financial linkages among stock markets in Pacific Basin countries
Quantitative easing, global banks and the international bank lending channel
Post-entry survival of developing economy international new ventures: A dynamic capability perspective
Immunity and infection: Emerging and developed market sovereign spreads over the Global Financial Crisis
Empirical analysis of the international public covered bond market
Long-term stock market volatility and the influence of terrorist attacks in Europe
The macroeconomic determinants of commodity futures volatility: Evidence from Chinese and Indian markets
An empirical evaluation of estimation error reduction strategies applied to international diversification
Boom-and-bust cycles in emerging markets: How important is the exchange rate?
State network approach to characteristics of financial crises
Liquidity and macroeconomic management in emerging markets
A multiscale analysis of stock return co-movements and spillovers: Evidence from Pacific developed markets
Quantile Dependence between the Stock, Bond and Foreign Exchange Markets - Evidence from the UK
International financial market integration, asset compositions, and the falling exchange rate pass-through
Financial Market Spillovers during the Quantitative Easing Programmes of the Global Financial Crisis (2007-2009) and the European Debt Crisis
Dynamics of international spillovers and interaction: Evidence from financial market stress and economic policy uncertainty
Balance sheet effects on monetary and financial spillovers: The East Asian crisis plus 20
Remittances, banks and stock markets: Panel evidence from developing countries
How vulnerable are international financial markets to terrorism? An empirical study based on terrorist incidents worldwide
The dynamic interdependence of international financial markets: An empirical study on twenty-seven stock markets
International financial spillovers to emerging market economies: How important are economic fundamentals?
Global portfolio investment network and stock market comovement
A study on chaos in crude oil markets before and after 2008 international financial crisis
Financial networks based on Granger causality: A case study
The liquidity impact on firm values: The evidence of Taiwan's banking industry
Does bonding really bond? Liability of foreignness and cross-listing of Chinese firms on international stock exchanges
A model to assess the impact of employment policy and subsidized domestic fuel prices on national oil companies
Dividend policy: A selective review of results from around the world
Sovereign debt risk in emerging market economies: Does inflation targeting adoption make any difference?
Financial ratios and bankruptcy predictions: An international evidence
Timing liquidity in the foreign exchange market: Did hedge funds do it?
On the origins of tourist urbanisation in Greece: Land speculation and property market (in)efficiency
Tail dependence and information flow: Evidence from international equity markets
Spillovers of U.S. unconventional monetary policy to emerging markets: The role of capital flows
Impacts of the mass media effect on investor sentiment
Forecasting European interest rates in times of financial crisis What insights do we get from international survey forecasts?
Assessing international accounting harmonization in Latin America
Interactions of International Portfolio Flows: an Empirical Study Based on Network Analysis
Non-financial disclosure and market-based firm performance: The initiation of financial inclusion
The behaviour of asset return and volatility spillovers in Turkey: A tale of two crises
Nonlinear dynamics of equity, currency and commodity markets in the aftermath of the global financial crisis
Cascading effect of contagion in Indian stock market: Evidence from reachable stocks
China's slowdown and global financial market volatility: Is world growth losing out?
Offshore renminbi trading: Findings from the 2013 Triennial Central Bank Survey
Can stock market investors hedge energy risk? Evidence from Asia
Herding within industries: Evidence from Asian stock markets
A model for international capital markets closure in an economy with incomplete markets and short sales
Cointegration and causal linkages in fertilizer markets across different regimes
Are global shocks leading indicators of currency crisis in Viet Nam?
A fresh look at integration of risks in the international stock markets: A wavelet approach
The determinants and pricing of liquidity commonality around the world
International stock return predictability: Evidence from new statistical tests
Financial market implications of monetary policy coincidences: Evidence from the UK and Euro Area government-bond markets
Hierarchy, cluster, and time-stable information structure of correlations between international financial markets
Adoption of the International Financial Reporting Standards by Greek non-listed companies: The role of coercive and hegemonic pressures
Clustering of short and long-term co-movements in international financial and commodity markets in wavelet domain
International endogenous growth, macro anomalies, and asset prices
The Determinants of Bond Market Development: Further Evidence from Emerging and Developed Countries
Structural breaks in volatility spillovers between international financial markets: Contagion or mere interdependence?
Conditional independence graph for nonlinear time series and its application to international financial markets