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2.
Two essays on stock repurchases and insider trading
by Jategaonkar, Shrikant Prabhakar, Ph.D.  The University of Arizona. 2009: 111 pages; 3355009.
5.
Under-pricing and long-run performance of initial public offerings in developing markets
by Ong, Sze Wei Daniel, M.Sc.  Singapore Management University (Singapore). 2006: 62 pages; 1489316.
6.
Three Essays on R&D: The Effect of Competition and Regulation
by Prasad, Aiyaswami Natesa, Ph.D.  University of Connecticut. 2012: 109 pages; 3569929.
7.
The stock market's valuation of R&D and market concentration in horizontal mergers
by Sonenshine, Ralph M., Ph.D.  American University. 2009: 159 pages; 3386278.
8.
The impact of data breaches on market value of firms in the E-Commerce marketplace
by Washington, Kevin D., D.B.A.  Capella University. 2016: 84 pages; 10102712.
9.
On stock return patterns following large weekly price movements: The case of Hong Kong
by Lu, Yue, M.Sc.  Singapore Management University (Singapore). 2009: 49 pages; 1489315.
10.
Executive roles and insider trading
by Knewtson, Heather Susan, Ph.D.  Washington State University. 2011: 136 pages; 3460398.
11.
Abnormal trading volume, stock returns and the momentum effects
by Zheng, Ying, M.Sc.  Singapore Management University (Singapore). 2007: 34 pages; 1483227.
13.
The announcement effects and the long-run performances of convertible bond issuances
by Xie, Wei, M.Sc.  Singapore Management University (Singapore). 2009: 117 pages; 1478880.
14.
Information role of analysts' target prices: Event and intra-day analysis
by Chen, Fan, M.Sc.  Singapore Management University (Singapore). 2009: 77 pages; 1483215.
15.
Quantifying implicit democracy
by Goktepe, Gokce, Ph.D.  New York University. 2010: 132 pages; 3428039.
16.
Voluntary Disclosure of Strategic Alternatives: A Cost-Benefit Analysis
by Zha, Jenny, Ph.D.  University of California, Berkeley. 2016: 146 pages; 10151008.
17.
The effect of concentrated institutional portfolio on stock returns
by Zhang, Haoli, M.Sc.  Singapore Management University (Singapore). 2009: 53 pages; 1489322.
19.
Information value of credit ratings in Asia ex-Japan markets
by Zhou, Chen, M.Sc.  Singapore Management University (Singapore). 2006: 58 pages; 1494109.
20.
Essays on financial economics
by Van Tassel, Peter, Ph.D.  Princeton University. 2015: 181 pages; 3729751.
21.
Target stock price runup prior to acquisitions
by Brigida, Matthew David, Ph.D.  Florida Atlantic University. 2009: 205 pages; 3392032.
22.
Investor activism and mergers and acquisitions (M&A)
by Gehlot, Akshay Singh, Ph.D.  Oklahoma State University. 2015: 185 pages; 10140685.
23.
Why does corporate governance matter? Evidence from seasoned bond offerings
by Wang, Fang, M.Sc.  Singapore Management University (Singapore). 2011: 82 pages; 1494103.
24.
Analyzing frequent acquires in emerging markets and futures markets linkage
by Al Rahahleh, Naseem, Ph.D.  University of New Orleans. 2009: 130 pages; 3361213.
25.
Information uncertainty and the momentum effect
by Cher, Liu Chang Nicholas, M.Sc.  Singapore Management University (Singapore). 2009: 54 pages; 1478220.
26.
Acquisitions driven by stock overvaluation
by Lin, Leming, M.Sc.  Singapore Management University (Singapore). 2009: 44 pages; 1478268.
27.
The impact of credit watch & bond rating changes on abnormal stock returns for Non-USA domiciled corporations
by Ee, Benjamin, M.Sc.  Singapore Management University (Singapore). 2008: 90 pages; 1478221.
28.
Income smoothing, information uncertainty, stock returns, and cost of equity
by Chen, Linda H., Ph.D.  The University of Arizona. 2009: 66 pages; 3352630.
29.
Empirical study of link between operations and financial performance for retailers
by Mani, Vidya, Ph.D.  The University of North Carolina at Chapel Hill. 2011: 144 pages; 3477577.
30.
Idiosyncratic risk and risk taking behavior of mutual fund managers
by Wang, Gao, M.Sc.  Singapore Management University (Singapore). 2011: 53 pages; 1494104.
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