No. 21-5, November 2015
Index
- Gains to Chinese Bidder Firms: Domestic vs. Foreign Acquisitions
- Heterogeneity in the Speed of Capital Structure Adjustment across Countries and over the Business Cycle
- Is there a Positive Risk‐Return Tradeoff? A Forward‐Looking Approach to Measuring the Equity Premium
- Measuring Systemic Risk: Common Factor Exposures and Tail Dependence Effects
- Multifactor Models and their Consistency with the ICAPM: Evidence from the European Stock Market
- The Lure of the Brand: Evidence from the European Mutual Fund Industry