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1.
Does Morningstar shine in the universe of mutual funds? A study on Morningstar mutual fund ratings
by Ng, Wee Seng, M.Sc.  Singapore Management University (Singapore). 2009: 120 pages; 1478228.
2.
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.
3.
Empirical evidences on risk-taking and performance of mutual fund
by Lu, Jingchang, M.Sc.  Singapore Management University (Singapore). 2009: 67 pages; 1478226.
4.
Flow-performance relationship and tournament behavior in the mutual fund industry
by Ma, Baoling, M.Sc.  Singapore Management University (Singapore). 2009: 47 pages; 1478227.
5.
Three essays on empirical corporate finance and political economy
by Wang, Yongxiang, Ph.D.  Columbia University. 2010: 170 pages; 3420879.
6.
Idiosyncratic risk and risk taking behavior of mutual fund managers
by Wang, Gao, M.Sc.  Singapore Management University (Singapore). 2011: 53 pages; 1494104.
7.
The effect of concentrated institutional portfolio on stock returns
by Zhang, Haoli, M.Sc.  Singapore Management University (Singapore). 2009: 53 pages; 1489322.
8.
The Relationship between Corporate Social Responsibility and Market Performance
by Timmons, James A., D.B.A.  University of Phoenix. 2011: 133 pages; 3504523.
9.
Assessing the Relationship of Investor Sentiment and Herding and the Closed-End Fund Discount Cycle
by Halliday, Alexander E., D.B.M.  Holy Angel University (The Philippines). 2018: 82 pages; 10821064.
10.
Financial policy and ownership stability
by Kozora, Matthew Lee, Ph.D.  University of Maryland, College Park. 2011: 176 pages; 3461176.
11.
Essays on trading and financial econometrics
by Xu, Jiangmin, Ph.D.  Princeton University. 2014: 148 pages; 3627305.
12.
Essays in hedge fund and volatility risk management
by Black, Keith H., Ph.D.  Illinois Institute of Technology. 2010: 152 pages; 3417949.
14.
Dynamic hedge fund asset allocation under multiple regimes
by Cru, David, Ph.D.  State University of New York at Stony Brook. 2010: 141 pages; 3408342.
15.
Essays in behavioral economics
by Schwartzstein, Joshua Reid, Ph.D.  Harvard University. 2010: 194 pages; 3415429.
18.
Disappearing act: An analysis of the boundaries between the nonprofit & for-profit sectors
by Grant, Simone D., Ph.D.  State University of New York at Albany. 2012: 410 pages; 3518135.
19.
Ribā-free models of money, banking, and insurance components of the Islamic moral economy
by Karim, Shafiel A., M.A.  California State University, Long Beach. 2010: 197 pages; 1486317.
20.
Corporate governance and hedge fund activism
by Goodwin, Shane, Ph.D.  Oklahoma State University. 2015: 297 pages; 10140676.
22.
Investment risk taking of U.S. life insurers
by Lu, Pi Ju, Ph.D.  Washington State University. 2011: 114 pages; 3479190.
23.
Windows to the soul: A heuristic inquiry into the use of the eyes as portals to innate presence
by Leiby, Jane Carol, Ph.D.  Institute of Transpersonal Psychology. 2014: 267 pages; 3645149.
24.
Three Essays on Private Market Interactions
by Daigle, Jonathan Alexander, Ph.D.  The University of Mississippi. 2017: 170 pages; 10683723.
25.
Decision-Making Competence, Life Regrets, and Subjective Well-Being in Mature Adults
by Pethtel, Olivia, Ph.D.  Bowling Green State University. 2012: 89 pages; 10631347.
26.
Essays in global linkages and business cycles
by Akin, Cigdem, Ph.D.  The George Washington University. 2009: 557 pages; 3360049.
28.
An analysis of relationship networks in venture capital syndication decisions
by Lauf, Richard I., Ph.D.  Union Institute and University. 2008: 163 pages; 3334118.
29.
Statistical Analysis of Mortgage Fundings Based on Data Collected from a Mortgage Lending Institution
by Drury, Steven Gregory, M.S.  California State University, Long Beach. 2018: 149 pages; 10825922.
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