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122.
A dynamic model predicting customer satisfaction ratings based on capital structure
by Saylor, Robert L., Ph.D.  Capella University. 2015: 110 pages; 3682653.
123.
124.
Consequences of real earnings management and weak corporate governance: Evidence from cash holdings
by Greiner, Adam J., Ph.D.  Florida Atlantic University. 2013: 115 pages; 3571432.
125.
Analysis of intermittence and log-periodicity of foreign exchange rates near a crash
by Casillas, Arturo, M.S.  The University of Texas at El Paso. 2012: 100 pages; 1512554.
126.
Essays on Financial Crises and Financial Regulation
by Bianchi Caporale, Javier Ignacio, Ph.D.  University of Maryland, College Park. 2011: 165 pages; 3479040.
127.
Interest rate uncertainty and stock market volatility
by Xu, Jincai, M.Sc.  Singapore Management University (Singapore). 2007: 52 pages; 1489321.
128.
Three Essays on Corporate Finance
by Liu, Fangzhou, Ph.D.  Indiana University. 2018: 134 pages; 10843972.
129.
Essays on Asset Mispricing
by Song, Woon-Kyung, Ph.D.  The George Washington University. 2013: 157 pages; 3597258.
131.
Essays on the Future of Money
by Moulton, Charles E., Jr., Ph.D.  George Mason University. 2018: 174 pages; 13419644.
132.
Essays on Money, Banking, and Finance
by Hogan, Thomas L., Ph.D.  George Mason University. 2011: 107 pages; 3455324.
133.
Investment risk taking of U.S. life insurers
by Lu, Pi Ju, Ph.D.  Washington State University. 2011: 114 pages; 3479190.
134.
The rise and fall of Daewoo: The making and unmaking of the high-debt firm in Korea
by Kim, Jong-Cheol, Ph.D.  University of California, Berkeley. 2009: 404 pages; 3411222.
136.
On the Calibration of the LIBOR Market Model
by Lagunzad, Demelinda U., M.Sc.  Singapore Management University (Singapore). 2007: 95 pages; 1483217.
138.
Investor activism and mergers and acquisitions (M&A)
by Gehlot, Akshay Singh, Ph.D.  Oklahoma State University. 2015: 185 pages; 10140685.
139.
Origins of financial reforms in developing countries
by Omori, Sawa, Ph.D.  University of Pittsburgh. 2007: 261 pages; 3300573.
140.
141.
Predicting a Currency Crisis Alternative Approaches and Applications to the Philippines
by Castillo, Fernando Antonio L., IV, M.Sc.  Singapore Management University (Singapore). 2006: 107 pages; 1489312.
143.
The relationship between a state's use of voter-approved debt and its credit ratings
by Kipnis, Hillel, M.P.P.  Georgetown University. 2014: 51 pages; 1554795.
144.
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.
145.
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.
146.
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.
147.
Accruals Quality and Firm Value
by Kiriukhin, Oleg, Ph.D.  The University of Chicago. 2018: 89 pages; 10817494.
148.
Dual-class vs. single-class firms: Information environment
by Lim, Lucy, Ph.D.  The George Washington University. 2010: 86 pages; 3389869.
149.
Econometric methods for improved measures of financial risk
by Kim, Moohwan, Ph.D.  University of Missouri - Columbia. 2011: 218 pages; 3515892.
150.
Making tradeoffs for environmental protection and policy design
by Yang, Peifang, Ph.D.  Colorado School of Mines. 2014: 80 pages; 3610182.
121 - 150 of 638 displayed.
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