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.
Основен автор: | Raudszus, Malte Helmut. |
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Формат: | Електронен |
Език: | English |
Публикувано: |
Frankfurt :
Lang, Peter, Internationaler Verlag der Wissenschaften,
2012.
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Серия: |
Corporate finance and governance ;
Bd. 9. |
Предмети: | |
Онлайн достъп: |
http://search.ebscohost.com/login.aspx?direct=true&scope=site&db=nlebk&AN=542505 |
Подобни документи: |
Print version::
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. |
Описание на библ. документ: |
6.3.2. Methodology for Measuring Stock Return Risk. |
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Физически характеристики: |
1 online resource (210 pages). |
ISBN: |
9783653019889 3653019885 |