Cross-listings, risk and returns
Year of publication: |
2016
|
---|---|
Other Persons: | Errunza, Vihang R. (ed.) |
Published in: |
Finance in emerging markets ; Vol. 3
|
Publisher: |
London and New York : Routledge |
Subject: | Zweitlisting | Dual listing | Kapitalmarktrendite | Capital market returns | Schwellenländer | Emerging economies |
Description of contents: | Table of Contents [gbv.de] |
-
Cross-listings and the dynamics between credit and equity returns
Augustin, Patrick, (2020)
-
Media coverage and stock returns : evidence from Chinese cross-listed firms
Wang, Chen, (2015)
-
Do foreign firm betas change during cross-listing?
Lewis, Karen K., (2015)
- More ...
-
Correlation Dynamics and International Diversification Benefits
Christoffersen, Peter, (2013)
-
Debt-for-Equity Swaps under a Rational Expectations Equilibrium
ERRUNZA, VIHANG R., (1989)
-
Market Segmentation and the Cost of the Capital in International Equity Markets
Errunza, Vihang R., (2000)
- More ...