Browsing by JEL Classification G Financial economics

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Issue DateTitleAuthor(s)TypeAccess Type
2012O herding behavior no mercado acionista PortuguêsFurtado, Nelson GuedesMaster ThesisRestricted Access
2013O herding behavior no mercado acionista português: análise por setores com modelos não linearesSantos, Luís Gregório Gonçalves dosMaster ThesisOpen Access
10-Dec-2019High-speed railroad between Lisbon and Madrid: Yes or no?: A real options' viewSantos, Neuza Carina Pires dosMaster ThesisOpen Access
20-Dec-2022How blockchain and this new digital financial services can accelerate innovationSadio, Joel Henrique BonançaMaster ThesisRestricted Access
28-Sep-2020How can non-financial companies use the foreign exchange market and manage the risk it involves?Raguideau, AliciaMaster ThesisOpen Access
2012How credit rating agencies influence the stock markets: Event studyBranco, João BeloMaster ThesisOpen Access
18-Dec-2020How currency crises impact on stock markets: a cointegration analysisOliveira, Tomás Miguel da Luz Correia Soares deMaster ThesisOpen Access
13-Nov-2018How does board's diversity influence the adoption of best practices when preparing integrated reports?Braz, Maria João OliveiraMaster ThesisOpen Access
18-Nov-2020How does differential leadership influence extra-role behavior?: an employee identity perspectiveTang ChaoDoctoral ThesisOpen Access
19-Jul-2023How may Huachuang Securities overcome the high turnover rate of employees, and obtain and retain customersYang ShenMaster ThesisOpen Access
15-Dec-2016How much is worth a non-listed company?: SATA Group valuationBorges, Maria Rouxinol Furtado de MedeirosMaster ThesisOpen Access
17-Dec-2019How stock short selling impacts the stock markets: evidence from NASDAQ-100Bilska, YuliyaMaster ThesisOpen Access
9-Nov-2023How sustainability drives new venture investments: The moderating effect of upstream support policiesLo Bue, ElisaMaster ThesisOpen Access
9-Nov-2023How sustainability drives new venture investments: The moderating role of certificatesLauricella, MarcoMaster ThesisRestricted Access
2013How the European policy changes affect the U.S. stock market : The importance of elections and the ECB’s monetary policyVentura, Magda Inês PereiraMaster ThesisRestricted Access
2010How to measure market liquidity risk in financial institutions?Lopes, Joana Maria CabritaMaster ThesisOpen Access
2-Dec-2021Identification of new risk factors in the aviation industry: evidence from risk factor disclosure in a post-COVID-19 environmentPalma, Miguel MendesMaster ThesisRestricted Access
2012Idiossincracias sectoriais no risco de créditoMarques, Marina Isabel VicenteMaster ThesisOpen Access
5-Dec-2022Impact of a pandemic and its management on market risk: Value-at-Risk analysisSoares, Daniel Filipe MiguelMaster ThesisOpen Access
6-Oct-2022Impact of cash flow mapping on VaR calculation of bond portfoliosNunes, Lúcia GonçalvesMaster ThesisOpen Access