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Investment Research
1003-7624
2012 Issue 1
A Comparative Study of the Trading Strategies of QFIIs from Different Nations(Regions)
Li Xuefeng;Shen Ning;HuYanan
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page:142-152
di 31 juan juan shou yu
xie du yang
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page:1
Credit Market Interest Rates and Economic Fluctuations in China:2004-2010
Xu Lingchao
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page:84-97
An Empirical Study on the Local Bias of Investment Decisions
Zhao Jingmei;Wu Fengyun;Luo Mei
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page:123-141
Joint Venture Underwriter and IPO Overpricing
Lu Yao;Zhao Yuye
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page:71-83
Credit Risk Analysis of Chinese City Construction Investment Bonds Based on the Credit Spread
Qi Tianxiang;Ge Hejun;Meng Zhen
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page:15-24
Study On The Stock Selectivity And Market Timing Of Chinese QDII Fund Managers
Zhang Jun;Chen Weibin
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page:153-160
Empirical Study of Market Reaction to Earnings Announcements Based on Investor Opinion Heterogeneity
Pan hong
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page:98-109
Ownership Structure,Corporate Governance and Performance of the SME Board Companies:Based on the Stochastic Frontier Production Function
Sun Jianguo;Hu Chaoxia
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page:110-122
Measuring Dynamic Risk of Financial Markets Based on Stylized Facts and Extreme Value Theory
Lin Yu
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page:41-56
Intensify Rural Financial Reform to Further Enhance the Level and Quality of the Capital of Rural Credit Cooperatives
Zhou Xiaochuan
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page:4-14
Rent-Seeking,R&D Investment and Corporate Performance:Empirical Evidence from Private Listed Firms
Du Xingquan;Zeng Quan;Wang Yanan
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page:57-70
Empirical Study On The Benchmark Interest Rate Selection for China’s Monetary Market
Wang Zhidong
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page:25-40