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Keyword: finance & banking
Found
743 papers
in total
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Two-stage DEA models with undesirable input-intermediate-outputs
2015,
Liu Wenbin
Data envelopment analysis (DEA) is a non-parametric approach for measuring the...
Do motivated institutional investors monitor firm payout and performance?
2015,
Nagel Gregory L
We document a positive relation between shareholder monitoring and total payout to...
Industry momentum in an earlier time: evidence from the cowles data
2015,
Szakmary Andrew C
Virtually all evidence on the efficacy of momentum strategies arises from the...
Monetary Aggregates to Improve Early Output Gap Estimates in the Euro Area: An Empirical Assessment
2015,
Boysen-Hogrefe Jens
Output gap estimates at the current edge are subject to severe revisions. This study...
Inventory models for deteriorating items with maximum lifetime under downstream partial trade credits to credit-risk customers by discounted cash-flow analysis
2016,
Teng Jinn-Tsair
Getting loans from banks are almost impossible after 2008 global financial crisis. As...
The impact of Basel Accords on the lender’s profitability under different pricing decisions
2015,
Huang Bo
In response to the deficiencies in financial regulation revealed by the global...
The inadequacy of the dimension of assets to classify financial institutions: application to cooperative banks
2015,
PalomoZurdo Ricardo
In this research, a new approach for the classification of cooperative banks is...
Ranking bank branches using DEA and multivariate regression models
2015,
Saen Reza Farzipoor
Service companies continually seek improved methods to measure the performance of...
Service quality dimensions: an empirical investigation of commercial banks in India using SERVQUAL
2015,
Arora Hitesh
In a service industry like banking, measuring service quality as seen from the 'eyes'...
Service innovation barriers and facilitators and their effects on customer satisfaction and relationship improvement
2015,
Sridhar M
Service innovation in process and/or product is influenced by many factors they...
A column generation heuristic for districting the price of a financial product
2015,
Desaulniers Guy
This paper studies a districting problem that arises in the context of financial...
Synthesis and analysis of probabilities of events by non-numeric, inaccurate and incomplete expert information
2015,
Karaseva Ekaterina
In this paper, we describe new kinds of events in logical and probabilistic...
A comparison of dynamic hazard models and static models for predicting the special treatment of stocks in China with comprehensive variables
2015,
Zhou Ligang
The stock exchanges in China give a stock special treatment in order to indicate its...
Artificial immune algorithm-based credit evaluation for mobile telephone customers
2015,
Zong-Chang Yang
The arrearage problem is a critical concern for China’s mobile communication...
Restructuring bank networks after mergers and acquisitions: A capacitated delocation model for closing and resizing branches
2015,
Ruiz-Hernndez Diego
During restructuring processes, due to mergers and acquisitions, banks frequently face...
What affects the predictions of private forecasters? The role of central bank forecasts in Chile
2015,
Pedersen Michael
This study utilizes Chilean data for analyzing the factors that affect the...
Investigating the online banking customer satisfaction model under the controlled effect of demographic variables
2014,
Dubey Rameshwar
The purpose of the paper is to investigate the online banking customer satisfaction...
SKEWNESS AND THE ASYMMETRY IN EARNINGS ANNOUNCEMENT RETURNS
2015,
Blau Benjamin M
Much of traditional asset pricing theory rests on the assumption of normality in the...
CONVERTIBLE SECURITIES AND HETEROGENEITY OF INVESTOR BELIEFS
2015,
Yan An
We conjecture that convertibles can better attract investors with different beliefs...
Cross-Section Stock Return and Implied Covariance between Jump and Diffusive Volatility
2015,
Ze-To Samuel Y M
I examine the information content of option‐implied covariance between jumps...
Distribution switching in financial time series
2009,
Fukuda Kosei
A new method for detecting regime switches between different probability distributions...
Income drawdown option with minimum guarantee
2014,
Gozzi Fausto
This paper deals with a constrained investment problem for a defined contribution (DC)...
DEA models with a constant input for SRI mutual funds with an application to European and Swedish funds
2014,
Basso Antonella
Data envelopment analysis (DEA) allows one to take into account the degree of social...
The loan officer's subjective judgment and its role in microfinance institutions
2014,
Baklouti Ibtissem
Microfinance institutions can classify their customers into different risk classes...
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