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Open Access
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Financial Return Risk and the Effect on Shareholder Wealth
How M&A Announcements and Banking Crisis Events Affect Stock Mean Returns and Stock Return Risk- A Compendium of Five Empirical Studies across Selective Industries©2012 Thesis -
Return Patterns of German Open-End Real Estate Funds
An Empirical Explanation of Smooth Fund Returns©2010 Thesis -
Employee Stock Options, Payout Policy, and Stock Returns
Shareholders and Optionholders in Large U.S. Technology Corporations©2012 Monographs -
Eurasian Legal Systems in a World in Transition
Economic prosperity or disparity, and the return of politics in international law©2023 Edited Collection -
Mergers and Acquisitions in the Energy Sector
The Impact of Synergy Disclosures on Shareholder Wealth and Operating Performance©2013 Thesis -
Privatization Performance in Turkey
©2016 Monographs -
Minority Shareholder Monitoring and German Corporate Governance
Empirical Evidence and Value Effects©2013 Thesis -
Principles of Turkish Administrative Law
©2023 Edited Collection -
Harnessing Tangible and Intangible Assets in the context of European Integration and Globalization: Challenges ahead
Proceedings of ESPERA 2019©2021 Conference proceedings -
Harnessing Tangible and Intangible Assets in the context of European Integration and Globalization: Challenges ahead
Proceedings of ESPERA 2019©2021 Conference proceedings -
Economic Growth and Development 2
Complementary Articles in the Pursuit of Economic Realities©2018 Monographs -
Analyzing Wealth Effects for Bondholders
New Insight on Major Corporate Events from the Debtholders’ Perspective©2016 Thesis -
Bank Governance Structures and Risk Taking
©2016 Thesis -
Addressing Barriers to Low-Carbon Innovation
Essays on Structures and Policies to Mobilise Private Finance©2016 Thesis -
Pharma M&A versus alliances and its underlying value drivers
Are M&A or alliances the right therapy for an ailing pharmaceutical industry?- A capital market perspective©2015 Thesis -
Determinants of Credit Spreads
An Empirical Analysis for the European Corporate Bond Market©2011 Thesis -
Estimation of the Expected Market Risk Premium for Corporate Valuations
Methodologies and Empirical Evidence for Equity Markets in Key Countries©2011 Thesis -
Cross-Border Bank Mergers: Who Gains and Why?
©2008 Thesis -
Active Credit Portfolio Management – Bringing the Capital Market Perspective into Bank Lending
A Practitioners’ View©2008 Thesis