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61.
Analyzing frequent acquires in emerging markets and futures markets linkage
by Al Rahahleh, Naseem, Ph.D.  University of New Orleans. 2009: 130 pages; 3361213.
62.
Household Risky Assets: Selection and Allocation
by Wang, Cong, Ph.D.  The Ohio State University. 2008: 144 pages; 10631364.
63.
Essays in Macroeconomics
by Daula, Thomas, Ph.D.  University of California, San Diego. 2012: 161 pages; 3522146.
65.
Information role of analysts' target prices: Event and intra-day analysis
by Chen, Fan, M.Sc.  Singapore Management University (Singapore). 2009: 77 pages; 1483215.
66.
Income smoothing, information uncertainty, stock returns, and cost of equity
by Chen, Linda H., Ph.D.  The University of Arizona. 2009: 66 pages; 3352630.
67.
Does VC reputation affect function of lockup agreement?
by He, Kejia, M.Sc.  Singapore Management University (Singapore). 2009: 72 pages; 1489314.
68.
Essays on trading and financial econometrics
by Xu, Jiangmin, Ph.D.  Princeton University. 2014: 148 pages; 3627305.
70.
71.
An exploratory study of the influence of leadership on SMEs survival in Nigeria
by Fajuyigbe, Kolade Elijah, D.M.  University of Phoenix. 2016: 280 pages; 10255399.
73.
Three essays on investments and time series econometrics
by Brooks, Joshua Andrew, Ph.D.  The University of Alabama. 2015: 143 pages; 3711188.
75.
Efficacy of Business Angel Tax credits, and targeted Supply-side economic policy
by Schulte, Kevin A., Ph.D.  Saint Louis University. 2016: 168 pages; 10164932.
77.
Predicting bankruptcy and catastrophic loss: A portfolio approach
by McKibben, Michael, M.S.  Duquesne University. 2017: 55 pages; 10268695.
78.
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.
79.
Forecasting recessions: The convergence of information and predictive analytics
by Naidoo, Jefrey Subramoney, Ph.D.  The University of Alabama. 2010: 164 pages; 3439830.
80.
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.
81.
Target stock price runup prior to acquisitions
by Brigida, Matthew David, Ph.D.  Florida Atlantic University. 2009: 205 pages; 3392032.
83.
Essays on Econometric Approaches for Understanding Health Care Quality and Finance in Alternative Policy Settings
by Luo, Qian, Ph.D.  The George Washington University. 2019: 161 pages; 13420698.
84.
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.
85.
Usury revisited: Can state regulation of payday lending reduce bankruptcy rates?
by Valenti, Joseph J., M.P.P.  Georgetown University. 2010: 50 pages; 1475164.
86.
Functional Regressions for General Exponential Families: A Theoretical and Applied Study
by Dou, Wei, Ph.D.  Yale University. 2010: 116 pages; 3440627.
87.
Incomplete Contract Enforcement in International Trade
by Olsen, Morten Graugaard, Ph.D.  Harvard University. 2011: 239 pages; 3462776.
88.
Discretion, managerial incentives, and market conditions: The misreporting of hedge fund returns
by Green, Jeremiah R., Ph.D.  The University of North Carolina at Chapel Hill. 2010: 68 pages; 3408869.
89.
Investigating select inventory issues and market performance of manufacturing firms
by Jhang, Shih Sian, Ph.D.  State University of New York at Buffalo. 2016: 209 pages; 10163804.
90.
Essays in global linkages and business cycles
by Akin, Cigdem, Ph.D.  The George Washington University. 2009: 557 pages; 3360049.
61 - 90 of 638 displayed.
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