Results 261 to 270 of about 165,068 (285)
Some of the next articles are maybe not open access.

Credit risk, monetary policy and investor sentiment during financial crisis in Europe

Η παρούσα διατριβή εκπονήθηκε με στόχο να διερευνήσει θέματα πιστωτικού κινδύνου του Δημοσίου καθώς και νομισματικής πολιτικής στην Ευρωζώνη, κατά την περίοδο της πρόσφατης παγκόσμιας χρηματοοικονομικής κρίσης και κρίσης χρέους στις χώρες του Ευρώ. Οι κρίσεις αυτές αποδόμησαν τη σταθερότητα των χρηματοοικονομικών αγορών, καθώς επίσης συνέβαλλαν στην ...
openaire   +1 more source

Macroeconomic Risk, Investor Preferences, and Sovereign Credit Spreads

SSRN Electronic Journal, 2018
Sandro C. Andrade   +2 more
openaire   +1 more source

Investor sentiment, credit rating, and stock returns

International Review of Economics and Finance, 2022
Taeyoon Sung, Sung Won Seo
exaly  

<p><span>Does ESG Information Increase Crash Risk?&nbsp;</span></p> <p><span>Evidence on Monitoring from Credit Lines and Governance by Institutional Investors</span></p>

Using 3,923 firm-year observations from 2016 to 2025 in Japan, we provide evidence that ESG scores are positively associated with crash risk for firms with greater access to credit lines and fewer institutional ownership. The effect of credit lines appears to operate through monitoring.
openaire   +1 more source

Retail investor attention and firms' idiosyncratic risk: Evidence from China

International Review of Financial Analysis, 2021
Jing Hao, Xiong Xiong
exaly  

Liquidity, Country Credit Risk and Exchange Rate Effects on Portfolio Values of Foreign Investors

Bu araştırmanın amacı, Borsa İstanbul pay piyasasının serbestleşmesi ile yurt dışında yerleşiklerin hisse senedi yatırımlarının değerini etkileyen faktörleri likidite, döviz kuru ve ülke risk primi (CDS) kapsamında araştırmaktadır. Litaretürde Türkiye pay piyasasında yabancı yatırımcıların portföy değerleri üzerindeki etkileri makroekonomik faktörler ...
openaire   +1 more source

Home - About - Disclaimer - Privacy