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31.
Essays on bank regulation and intervention
by Lu, Wen-ling, Ph.D.  Washington State University. 2014: 140 pages; 3628851.
32.
Three essays in economics
by Fraiberger, Samuel Paul, Ph.D.  New York University. 2015: 174 pages; 3716522.
33.
Analysis of Singapore's foreign exchange market microstructure
by Wan, Chee Wai, M.Sc.  Singapore Management University (Singapore). 2011: 102 pages; 1501950.
34.
Borrowing constraints and the business cycle in emerging markets
by Komatsuzaki, Takuji, Ph.D.  University of Maryland, College Park. 2012: 108 pages; 3517546.
35.
Argentina's economic crisis in 2001 and the International Monetary Fund
by Jun, Christine, Ph.D.  University of Southern California. 2009: 144 pages; 3355394.
37.
Inquiry into Organization Mortality
by Flynn, Michael L., Ph.D.  Benedictine University. 2014: 253 pages; 3584888.
38.
Three essays on merger outcomes: Corporate strategy, bargaining power and valuation waves
by Jurich, Stephen N., Ph.D.  The University of Mississippi. 2015: 191 pages; 3727128.
39.
The Sarbanes -Oxley Act and the choice of bond market by foreign firms
by Gao, Yu, Ph.D.  The University of Chicago. 2007: 80 pages; 3272967.
40.
Essays on Financial Crises and Banking: International, Domestic and Systemic Approach
by Martinez, Regina, Ph.D.  The George Washington University. 2015: 223 pages; 3720089.
42.
The Determinants of Bank Failures: The Case of Puerto Rico
by Martinez Ramos, Nicole M., M.A.  University of Puerto Rico, Rio Piedras (Puerto Rico). 2019: 51 pages; 13886213.
44.
Essays on Credit Default Swaps and Corporate Debt Financing Decisions
by Darst, R. Matthew, Ph.D.  The George Washington University. 2015: 205 pages; 3718430.
45.
Angel investing: A case study of the processes, risk, and internal rate of return
by Roach, Geoffroy T., D.B.A.  University of Phoenix. 2008: 199 pages; 3348685.
46.
Essays on the Impact of Credit Default Swaps on Corporate Debt
by Refayet, Md Ehraz, Ph.D.  The George Washington University. 2015: 200 pages; 3718547.
47.
Three Essays on Private Market Interactions
by Daigle, Jonathan Alexander, Ph.D.  The University of Mississippi. 2017: 170 pages; 10683723.
48.
The Role of International Organizations in Financial Market Reform
by Silvia, Joseph Edward, LL.M.  The George Washington University. 2010: 84 pages; 1483982.
49.
Three essays on empirical corporate finance and political economy
by Wang, Yongxiang, Ph.D.  Columbia University. 2010: 170 pages; 3420879.
51.
Three Essays on R&D: The Effect of Competition and Regulation
by Prasad, Aiyaswami Natesa, Ph.D.  University of Connecticut. 2012: 109 pages; 3569929.
53.
Essays in Bank Internal Capital Markets and Global Financial Stability
by Gupta, Arun, Ph.D.  Yale University. 2019: 127 pages; 13806558.
54.
Monetary Policies for Full Employment and Price Stability in Saudi Arabia: An Endogenous Money Approach
by Alrasheedy, Abdulelah, Ph.D.  University of Missouri - Kansas City. 2017: 143 pages; 10280216.
55.
The financial accelerator and fixed asset investment
by Roberts, Heather Victoria, Ph.D.  City University of New York. 2011: 94 pages; 3481790.
57.
Essays in hedge fund and volatility risk management
by Black, Keith H., Ph.D.  Illinois Institute of Technology. 2010: 152 pages; 3417949.
59.
Information role of analysts' target prices: Event and intra-day analysis
by Chen, Fan, M.Sc.  Singapore Management University (Singapore). 2009: 77 pages; 1483215.
60.
Three essays on global imbalances
by Kim, Hujin, Ph.D.  Colorado State University. 2014: 192 pages; 3624293.
31 - 60 of 640 displayed.
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