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211.
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.
212.
Managerial reputation and non-GAAP earnings disclosures
by Cheng, Yun, Ph.D.  Florida Atlantic University. 2014: 108 pages; 3647568.
213.
The Impact of Stress Testing on the Systemic Risk of Bank Holding Companies
by Konstantopoulos, Theodoros, M.S.  The University of North Carolina at Charlotte. 2018: 80 pages; 13421953.
214.
Essays on trading and financial econometrics
by Xu, Jiangmin, Ph.D.  Princeton University. 2014: 148 pages; 3627305.
215.
Soaked and Unsoaked Performance of Crushed Gravel and Limestone Aggregates
by Othmanawny, Goran, M.S.  Southern Illinois University at Edwardsville. 2017: 51 pages; 10604051.
217.
Particle filtering for stochastic control and global optimization
by Zhou, Enlu, Ph.D.  University of Maryland, College Park. 2009: 138 pages; 3372999.
218.
Three Econometric Essays on Continuous Time Models
by Wang, Xiaohu, Ph.D.  Singapore Management University (Singapore). 2012: 139 pages; 3539463.
221.
Essays on Local Housing Risk and Return
by Feng, Guoliang, Ph.D.  The George Washington University. 2015: 128 pages; 3716188.
222.
224.
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.
226.
Correlational relationships of presidential politics and dollar value on U.S. net foreign investments
by Nichols, Nikita Armstrong, D.B.A.  University of Phoenix. 2016: 129 pages; 10253447.
227.
Development of leading indicator methodology of university research project performance
by Abbott, Rodman P., Ph.D.  Southern Methodist University. 2016: 379 pages; 10247042.
228.
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.
229.
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.
230.
Heterogeneous Agents and Finance
by Cui, Min, Ph.D.  Indiana University. 2019: 155 pages; 13900824.
231.
Essays in International and Labor Economics
by Coleman, Chase G., Ph.D.  New York University. 2019: 146 pages; 13878055.
232.
An Initial Evaluation of a Model of Depression Sensitivity
by Alden, Alison Rose, Ph.D.  Northwestern University. 2013: 163 pages; 3595547.
233.
Three Essays on the Role of Fiscal Stress for the Size of the Government Spending Multiplier
by Strobel, Felix, Ph.D.  Humboldt Universitaet zu Berlin (Germany). 2017: 110 pages; 27732982.
235.
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.
236.
Decisions and Uncertainties in the US Energy System: Electrofuels and Other Applications
by Sherwin, Evan D., Ph.D.  Carnegie Mellon University. 2019: 236 pages; 13881089.
238.
Illiquidity, stock return and corporate capital structure: Evidence from seasoned equity offering
by Zhao, Yu, M.Sc.  Singapore Management University (Singapore). 2010: 72 pages; 1483226.
239.
Microsoft 365 and Exchange Server Hybrid Forensics
by Carlson, Alex, M.S.  Utica College. 2019: 71 pages; 27670117.
211 - 240 of 1884 displayed.
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