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1.
The effect of changes in Federal funds rate target on bank stock returns in the U.S.A.
by Yin, Haiyan, Ph.D.  The George Washington University. 2007: 174 pages; 3288827.
2.
Essays on bank organization, market structure, and bank risk taking behavior
by Goetz, Martin R., Ph.D.  Brown University. 2010: 109 pages; 3430134.
3.
Three Essays on Corporate Finance
by Liu, Fangzhou, Ph.D.  Indiana University. 2018: 134 pages; 10843972.
5.
The impact of macroeconomic variables on the stock market of the oil-exporting countries: The case of Iran
by Niknam Esfahani, Naser, D.B.A.  Alliant International University. 2016: 113 pages; 10243507.
6.
Stock markets and income inequality: A cross-country study
by Mathew, Elizabeth, M.Sc.  Singapore Management University (Singapore). 2009: 48 pages; 1478269.
8.
Corporate Governance Issues in the Nigerian Banking Industry
by Akande, Oyebola, D.B.A.  Walden University. 2016: 246 pages; 10129105.
9.
Deep Learning for Financial Banking Stress Test Analytics
by Razzak, Farid, Ph.D.  Rutgers The State University of New Jersey, Graduate School - Newark. 2020: 174 pages; 27955933.
10.
Essays on Money, Banking, and Finance
by Hogan, Thomas L., Ph.D.  George Mason University. 2011: 107 pages; 3455324.
11.
Lending relationships and liquidity insurance value of bank credit lines: Evidence from loan spreads
by Maksimenko, Tatiana, Ph.D.  City University of New York. 2013: 145 pages; 3601933.
12.
Essays on Asset Mispricing
by Song, Woon-Kyung, Ph.D.  The George Washington University. 2013: 157 pages; 3597258.
13.
Essays on bank regulation and intervention
by Lu, Wen-ling, Ph.D.  Washington State University. 2014: 140 pages; 3628851.
14.
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.
17.
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.
18.
Asset distribution and productivity: Best practices for developing this synergistic relationship
by Willbanks Wiesner, Wendy, M.A.  University of Denver. 2010: 86 pages; 1478263.
19.
Correlational relationships of presidential politics and dollar value on U.S. net foreign investments
by Nichols, Nikita Armstrong, D.B.A.  University of Phoenix. 2016: 129 pages; 10253447.
20.
The Impact of Stress Testing on the Systemic Risk of Bank Holding Companies
by Konstantopoulos, Theodoros, M.S.  The University of North Carolina at Charlotte. 2018: 80 pages; 13421953.
21.
Interest rate uncertainty and stock market volatility
by Xu, Jincai, M.Sc.  Singapore Management University (Singapore). 2007: 52 pages; 1489321.
22.
Essays on Volatility Risk, Asset Returns and Consumption-Based Asset Pricing
by Kim, Young Il, Ph.D.  The Ohio State University. 2008: 196 pages; 10631107.
23.
Central bank lending facilities and properties of interest rates
by Balachandran, Binu, Ph.D.  Columbia University. 2008: 133 pages; 3299355.
25.
Essays on Financial Crises and Financial Regulation
by Bianchi Caporale, Javier Ignacio, Ph.D.  University of Maryland, College Park. 2011: 165 pages; 3479040.
27.
Examining the low volatility anomaly in stock prices
by Malhotra, Munish, M.A.  University of Denver. 2013: 92 pages; 1550386.
28.
Essays on Monetary Policy and Empirical Asset Pricing
by Wei, Xin, Ph.D.  Indiana University. 2020: 131 pages; 28001943.
29.
Bank community development corporation investments in community economic development
by Prevo, Dwight J., D.P.D.S.  University of Southern California. 2009: 191 pages; 3355452.
30.
The impact of stock option expensing as part of CEO compensation and earnings quality
by Paz, Veronica, D.B.A.  Nova Southeastern University. 2012: 108 pages; 3539481.
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