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Debt markets and corporate debt structure in an emerging market: The South African example
An experimental comparison of classification techniques in debt recoveries scoring: Evidence from South Africa's unsecured lending market
Better safe than sorry? CEO inside debt and risk-taking in bank acquisitions
Liquidity premiums on government debt and the fiscal theory of the price level
Effects of debt mutualization in a monetary union with endogenous risk premia: Can Eurobonds contribute to debt stabilization?
Interest rate risk management with debt issues: Evidence from Europe
Corporate social responsibility, product market competition, and product market performance
Varieties of indebtedness: Financialization and mortgage market institutions in Europe
Income inequality, equities, household debt, and interest rates: Evidence from a century of data
The impact of the Heavily Indebted Poor Countries initiative on growth and investment in Africa
Why prices don't respond sooner to a prospective sovereign debt crisis
Efficiency or speculation? A time-varying analysis of European sovereign debt
Threat of entry and debt maturity: Evidence from airlines
Initial compensation contracts for new executives and financial distress risk: An empirical investigation of UK firms
Emerging market corporate bond yields and monetary policy
Optimal investment risks and debt management with backup security in a financial crisis
Criminalisation and prostitution of migrant women in Turkey: A case study of Ugandan women
Holding the market under the stimulus plan: Local government financing vehicles' land purchasing behavior in China
Bid-to-cover and yield changes around public debt auctions in the euro area
Asymmetries in the Firm's use of debt to changing market values
Capital structure decisions and the optimal design of corporate market debt prograams
What determines debt structure in emerging markets: Transaction costs or public monitoring?
Financial Market Spillovers during the Quantitative Easing Programmes of the Global Financial Crisis (2007-2009) and the European Debt Crisis
Is communication clarity from fiscal authority useful? Evidence from an emerging economy
Sukuk issuance and information asymmetry: Why do firms issue sukuk?
The configuration of a status based model of economic actors: The case of Spanish government debt market
Debt spikes and stock flow adjustments: Emerging economies in perspective
Sovereign debt risk in emerging market economies: Does inflation targeting adoption make any difference?
Corporate choice between conventional bond and Sukuk issuance evidence from GCC countries
Access to bank financing and the collateral channel: The case of Tunisian firms before and after the revolution
Discount rate or cash flow contagion? Evidence from the recent financial crises
An empirical investigation of herding in the U.S. stock market
The impact of corporate social performance on the cost of debt and access to debt financing for listed European non-financial firms
Sovereign debt maturity structure under asymmetric information
Debt composition and lax screening in the corporate bond market
Dynamic of consumer groups and response of commodity markets by principal component analysis
Bond finance, bank credit, and aggregate fluctuations in an open economy
Impact of Market Timing on the Capital Structure of Russian Companies
Country and industry effects in corporate bond spreads in emerging markets
Does the source of debt financing affect default risk?
What promotes/prevents firm bond issuance in emerging economies: Bankfirm relationship or information asymmetry?
Momentum strategies in European equity markets: Perspectives on the recent financial and European debt crises
Fiscal sustainability in an emerging market economy: When does public debt turn bad?
The stability of short-term interest rates pass-through in the euro area during the financial market and sovereign debt crises
Comovement or safe haven? The effect of corruption on the market risk of sovereign bonds of emerging economies during financial crises
Debt market friction, firm-specific knowledge capital accumulation and macroeconomic implications
Sovereign debt composition and time-varying public finance sustainability
Debt sustainability in emerging market countries: Some policy guidelines from a fan-chart approach
Liquidity Commonality in Foreign Exchange Markets During the Global Financial Crisis and the Sovereign Debt Crisis: Effects of Macroeconomic and Quantitative Easing Announcements
Cost of sovereign debt and foreign bias in bond allocations
Do banks and industrial companies have equal access to reputable underwriters in debt markets?
Real option with liquidity constraints under secondary debt illiquidity risk market
Debt thresholds and real exchange rates: An emerging markets perspective
Do cultures influence abnormal market reactions before official sovereign debt rating downgrade announcements?
Capital structure and firm performance: Empirical evidence from a small transition country