Directory UMM :Data Elmu:jurnal:J-a:Journal Of Banking And Finance:Vol24.Issue11.2000:
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To answer this question we try to measure the exposure to dierent risk sources of S&V strategy premia: (i) MMRs standard deviation of individual stocks being part of
In Corporate Governance and Financial Performance: A Study of German and UK Initial Public Oerings, Goergen studies the combined eects of international governance structures,