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182.
What explains Credit default swaps bid-ask spread?
by Chen, Yaru, M.Sc.  Singapore Management University (Singapore). 2008: 69 pages; 1483216.
183.
Do warrants lead the underlying stocks and index futures?
by Kui, Lin Ying, M.Sc.  Singapore Management University (Singapore). 2008: 89 pages; 1483220.
185.
Shale development: risks, responses, and regulation
by Cecot, Caroline, Ph.D.  Vanderbilt University. 2014: 183 pages; 3584410.
186.
Essays in Macroeconomics and International Trade
by Lyon, Spencer G., Ph.D.  New York University. 2018: 150 pages; 10936066.
187.
Packaging of services with base goods
by Eilat, Assaf, Ph.D.  Stanford University. 2008: 49 pages; 3313813.
190.
Illiquidity, stock return and corporate capital structure: Evidence from seasoned equity offering
by Zhao, Yu, M.Sc.  Singapore Management University (Singapore). 2010: 72 pages; 1483226.
191.
Essays on the Macroeconomics of Labor Markets
by Bilal, Adrien Gabriel, Ph.D.  Princeton University. 2020: 443 pages; 28087761.
192.
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.
193.
Exploration of Complexities for Migration of Software-Licensing Models
by Mulchahey, Kenneth E., D.B.A.  Capella University. 2019: 157 pages; 13806407.
194.
Crystalline: A Healthcare Transparency Business Plan Proposal
by Huynh, Stephanie, M.S.  California State University, Long Beach. 2019: 50 pages; 22585264.
196.
When Shrouded Prices Signal Transparency: Consequences of Price Disaggregation
by White, Shannon, Ph.D.  The University of Chicago. 2020: 203 pages; 27955834.
197.
Competition between Originators and Generics: Public Regulation and Incentives to Innovate
by Campion, Marie-Geneviève, Ph.D.  Bayerische Julius-Maximilians-Universitaet Wuerzburg (Germany). 2014: 285 pages; 27766760.
198.
Structured interactions and collective outcomes essays on production and finance
by Neilson, Daniel H., Ph.D.  Columbia University. 2009: 121 pages; 3393607.
199.
Equity Market Returns and Recessions
by Guan, Jingling, Ph.D.  Northwestern University. 2011: 125 pages; 3469725.
201.
202.
Essays in hedge fund and volatility risk management
by Black, Keith H., Ph.D.  Illinois Institute of Technology. 2010: 152 pages; 3417949.
203.
204.
After the dust settles with regulatory mandates: Three essays on IPO performance
by Queen, Pamela E., Ph.D.  The George Washington University. 2009: 176 pages; 3386642.
205.
Collective Knowing about Organizational Risk: Evidence from Pre-financial Crisis Mortgage Lending
by D'Alessandro, Dane Richard, Ph.D.  Benedictine University. 2019: 283 pages; 13881570.
206.
Modeling alternatives to solve the connected graph k-clustering problem
by Es-Sakli, Nada, M.S.  Lehigh University. 2011: 74 pages; 1488515.
207.
Electricity Reform: The Case of Sourcing and Cost Management in Steel Manufacturing
by Okonkwo, Christopher Ndubuisi, D.B.A.  Walden University. 2016: 164 pages; 10244881.
209.
Games on Portfolio Optimization and Bitcoin Mining
by Li, Zongxi, Ph.D.  Princeton University. 2020: 144 pages; 27546237.
210.
Three Essays on Corporate Finance
by Liu, Fangzhou, Ph.D.  Indiana University. 2018: 134 pages; 10843972.
181 - 210 of 9003 displayed.
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