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272.
Factor models: Testing and forecasting
by Yao, Jiawei, Ph.D.  Princeton University. 2015: 114 pages; 3682786.
273.
275.
Why does corporate governance matter? Evidence from seasoned bond offerings
by Wang, Fang, M.Sc.  Singapore Management University (Singapore). 2011: 82 pages; 1494103.
277.
Markov switching var model of speculative pressure: An application to the Asian financial crisis
by Vargas, Gregorio A., III, M.Sc.  Singapore Management University (Singapore). 2009: 71 pages; 1483224.
278.
Pandemics: How the Stock Market and Other Financial Instruments Compare to Past Pandemics
by Roa, Dean Earl, Jr., M.S.  California State University, Los Angeles. 2020: 33 pages; 28087335.
281.
The Lead-Lag Relationship between CSI 300 Index and CSI 300 Index Futures in China
by Zhou, Xiaoning, Master's  Stevens Institute of Technology. 2020: 71 pages; 27993895.
282.
The Société anonyme de l'Hippodrome de Paris: Architecture and Association in Late Nineteenth-century Paris
by Amunátegui, Juan Cristóbal, Ph.D.  Princeton University. 2020: 351 pages; 27743426.
283.
Property Tax Limitations, School District Revenues, and Equity: Analyses of Pennsylvania's Act One
by Verret, Jill Evancho, Ph.D.  The George Washington University. 2019: 233 pages; 13421854.
284.
Internal Social Media Policy in the Finance Industry
by Rogers, David Shaun, D.B.A.  Walden University. 2018: 124 pages; 10749173.
286.
Examining Hybrid-Gift Philanthropy in Division I Intercollegiate Athletics: A Mixed Methods Study
by O'Sullivan, John Thomas, Ph.D.  University of San Diego. 2017: 265 pages; 10278831.
287.
Three Essays on R&D: The Effect of Competition and Regulation
by Prasad, Aiyaswami Natesa, Ph.D.  University of Connecticut. 2012: 109 pages; 3569929.
288.
A Cost Benefit Analysis of Retention of K–2 Students in an Urban District
by Yonke, Debra Ann Davenport, Ed.D.  Lindenwood University. 2012: 161 pages; 3510453.
289.
Target stock price runup prior to acquisitions
by Brigida, Matthew David, Ph.D.  Florida Atlantic University. 2009: 205 pages; 3392032.
290.
Two essays on stock repurchases and insider trading
by Jategaonkar, Shrikant Prabhakar, Ph.D.  The University of Arizona. 2009: 111 pages; 3355009.
291.
The impact of credit watch & bond rating changes on abnormal stock returns for Non-USA domiciled corporations
by Ee, Benjamin, M.Sc.  Singapore Management University (Singapore). 2008: 90 pages; 1478221.
292.
Essays in financial economics
by Cheung, Sze Wah Sam, Ph.D.  Columbia University. 2008: 136 pages; 3317644.
293.
Essays on Financial Regulation
by Alsabah, Khaled, Ph.D.  University of Colorado at Boulder. 2020: 104 pages; 28028637.
294.
SEC Regulations and Firms
by Wu, Xi, Ph.D.  New York University. 2020: 123 pages; 27831011.
295.
Paying for Rain: The Emergence, Diffusion, and Form of Stormwater Fees in the United States, 1964-2017
by Chalfant, Brian Alexander, Ph.D.  University of Pittsburgh. 2018: 299 pages; 13819962.
296.
Exploring the Strategies for Accessing Microloans Used by Small and Medium Enterprises
by Kashim Olanrewaju, Abdul Rashid, Ph.D.  Walden University. 2018: 146 pages; 10827249.
297.
Capitalization Strategies for Small Business Sustainability
by Basch, Richard J., D.B.A.  Walden University. 2017: 154 pages; 10684791.
298.
Improving educational outcomes for youth in foster care: A grant proposal
by Glisson, Molly, M.S.W.  California State University, Long Beach. 2014: 84 pages; 1527705.
300.
Impact of Firm Performance, Multi-Nationality, and Innovation in MNCs
by Shetty, Sadu, D.B.A.  Nova Southeastern University. 2013: 101 pages; 3555066.
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