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Analyzing frequent acquires in emerging markets and futures markets linkage
by Al Rahahleh, Naseem, Ph.D.  University of New Orleans. 2009: 130 pages; 3361213.
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Political determinants of financial crises: A political flexibility approach to Latin American crises
by Dondisch, Roberto, Ph.D.  The Johns Hopkins University. 2007: 204 pages; 3267883.
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The interplay between financial and labor markets
by Levkov, Alexey, Ph.D.  Brown University. 2010: 227 pages; 3430139.
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Essays on Financial Crises and Financial Regulation
by Bianchi Caporale, Javier Ignacio, Ph.D.  University of Maryland, College Park. 2011: 165 pages; 3479040.
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News which moves the market: Assessing the impact of published financial news on the stock market
by Soon, Yu Chiang, M.Sc.  Singapore Management University (Singapore). 2011: 68 pages; 1494102.
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Three Essays in International Financial Markets and Fiscal Policies
by Liu, Siming, Ph.D.  Indiana University. 2019: 253 pages; 13900421.
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Essays on frictions in financial over-the-counter markets
by Zhang, Shengxing, Ph.D.  New York University. 2014: 296 pages; 3635319.
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Essays in Bank Internal Capital Markets and Global Financial Stability
by Gupta, Arun, Ph.D.  Yale University. 2019: 127 pages; 13806558.
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The new development of econometrics and its applications in financial markets
by Li, Yuan, Ph.D.  State University of New York at Binghamton. 2009: 103 pages; 3368875.
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The Role of International Organizations in Financial Market Reform
by Silvia, Joseph Edward, LL.M.  The George Washington University. 2010: 84 pages; 1483982.
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Massachusetts Farmers' Markets: Contributions to Farmer Sales and Food Access
by Obadia, Jennifer, Ph.D.  Tufts University, Gerald J. and Dorothy R. Friedman School of Nutrition Science and Policy. 2011: 207 pages; 3481135.
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Essays on cross-national listing of shares and the globalization of capital markets
by Phillips, Guadalupe, Ph.D.  Fletcher School of Law and Diplomacy (Tufts University). 2010: 312 pages; 3422230.
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Essays on the Determinants of Foreign Asset Portfolio Allocation, Home Bias, and Portfolio Dynamics during the Financial Crisis
by Rika, Elona, Ph.D.  Brandeis University, International Business School. 2014: 165 pages; 3721627.
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Asymmetric Information in Macroeconomics
by Bigio, Matthew Saki, Ph.D.  New York University. 2012: 298 pages; 3524132.
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Financial assets in a heterogeneous agent general equilibrium model with aggregate and idiosyncratic risk
by Schmerbeck, Aaron J., Ph.D.  The Florida State University. 2014: 121 pages; 3638074.
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Strategies Church Financial Leaders Use for Financial Sustainability during Economic Crises
by Jackson, Jessie Hyman, D.B.A.  Walden University. 2018: 147 pages; 13422045.
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Three sections of applications of co-integration: Hedge funds, industry and main global equity markets
by Zhongjian, Lin, M.Sc.  Singapore Management University (Singapore). 2009: 47 pages; 1483221.
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