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You searched for +publisher:"University of North Texas" +contributor:("Karafiath, Imre, 1955-"). Showing records 1 – 12 of 12 total matches.

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University of North Texas

1. Rogers, Nina. Significant Alphas in Real Estate Funds.

Degree: 2014, University of North Texas

 This study provide empirical evidence whether bias in the standard errors of Jensen’s alpha explains conflicting results in the extant literature in real estate funds.… (more)

Subjects/Keywords: Alphas; real estate funds; Real estate business.; Risk-return relationships.; Rate of return.

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APA (6th Edition):

Rogers, N. (2014). Significant Alphas in Real Estate Funds. (Thesis). University of North Texas. Retrieved from https://digital.library.unt.edu/ark:/67531/metadc699987/

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16th Edition):

Rogers, Nina. “Significant Alphas in Real Estate Funds.” 2014. Thesis, University of North Texas. Accessed March 20, 2019. https://digital.library.unt.edu/ark:/67531/metadc699987/.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7th Edition):

Rogers, Nina. “Significant Alphas in Real Estate Funds.” 2014. Web. 20 Mar 2019.

Vancouver:

Rogers N. Significant Alphas in Real Estate Funds. [Internet] [Thesis]. University of North Texas; 2014. [cited 2019 Mar 20]. Available from: https://digital.library.unt.edu/ark:/67531/metadc699987/.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

Rogers N. Significant Alphas in Real Estate Funds. [Thesis]. University of North Texas; 2014. Available from: https://digital.library.unt.edu/ark:/67531/metadc699987/

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation


University of North Texas

2. Huang, Jing‐Hui. Three Essays on Insurers’ Performance and Best’s Ratings.

Degree: 2015, University of North Texas

 This dissertation consists of three essays: essay 1, Underwriting Use of Credit Information and Firm Performance ‐ An Empirical Study of Texas Property‐Liability Insurers, essay… (more)

Subjects/Keywords: credit; financial strength rating; underwriting performance; insurance companies; Best's key rating guide  – Property/casualty.; Property insurance  – United States.; Casualty insurance  – United States.; Insurance companies  – Ratings and rankings  – United States.; Property insurance  – Texas.; Casuality insurance  – Texas.; Credit  – Texas.

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APA (6th Edition):

Huang, J. (2015). Three Essays on Insurers’ Performance and Best’s Ratings. (Thesis). University of North Texas. Retrieved from https://digital.library.unt.edu/ark:/67531/metadc801933/

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16th Edition):

Huang, Jing‐Hui. “Three Essays on Insurers’ Performance and Best’s Ratings.” 2015. Thesis, University of North Texas. Accessed March 20, 2019. https://digital.library.unt.edu/ark:/67531/metadc801933/.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7th Edition):

Huang, Jing‐Hui. “Three Essays on Insurers’ Performance and Best’s Ratings.” 2015. Web. 20 Mar 2019.

Vancouver:

Huang J. Three Essays on Insurers’ Performance and Best’s Ratings. [Internet] [Thesis]. University of North Texas; 2015. [cited 2019 Mar 20]. Available from: https://digital.library.unt.edu/ark:/67531/metadc801933/.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

Huang J. Three Essays on Insurers’ Performance and Best’s Ratings. [Thesis]. University of North Texas; 2015. Available from: https://digital.library.unt.edu/ark:/67531/metadc801933/

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation


University of North Texas

3. Poudel, Rajeeb. Single Notch Versus Multi Notch Credit Rating Changes and the Business Cycle.

Degree: 2015, University of North Texas

 Issuers’ credit ratings change by one or more notches when credit rating agencies provide new ratings. Unique to the literature, I study the influences affecting… (more)

Subjects/Keywords: Credit Rating Change; Business Cycle; Multi Notch Credit Rating; Single Notch Credit Rating; Behavior Finance; Investor Reaction; Economics, Finance; Education, Finance; Credit ratings.; Business cycles.

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APA (6th Edition):

Poudel, R. (2015). Single Notch Versus Multi Notch Credit Rating Changes and the Business Cycle. (Thesis). University of North Texas. Retrieved from https://digital.library.unt.edu/ark:/67531/metadc848118/

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16th Edition):

Poudel, Rajeeb. “Single Notch Versus Multi Notch Credit Rating Changes and the Business Cycle.” 2015. Thesis, University of North Texas. Accessed March 20, 2019. https://digital.library.unt.edu/ark:/67531/metadc848118/.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7th Edition):

Poudel, Rajeeb. “Single Notch Versus Multi Notch Credit Rating Changes and the Business Cycle.” 2015. Web. 20 Mar 2019.

Vancouver:

Poudel R. Single Notch Versus Multi Notch Credit Rating Changes and the Business Cycle. [Internet] [Thesis]. University of North Texas; 2015. [cited 2019 Mar 20]. Available from: https://digital.library.unt.edu/ark:/67531/metadc848118/.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

Poudel R. Single Notch Versus Multi Notch Credit Rating Changes and the Business Cycle. [Thesis]. University of North Texas; 2015. Available from: https://digital.library.unt.edu/ark:/67531/metadc848118/

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation


University of North Texas

4. Jordan-Wagner, James M. (James Michael). Arbitrage Pricing Theory and the Capital Asset Pricing Model: Evidence from the Eurodollar Bond Market.

Degree: 1988, University of North Texas

 Monthly returns on twenty-seven Eurobonds from July 1982 to June 1986 were examined. There were no consistent differences in returns based on the country in… (more)

Subjects/Keywords: Investments  – Mathematical models.; Arbitrage.; Capital assets pricing model.; Euro-bond market.; arbitrage; pricing theory; Eurobonds; capital asset priciing model

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APA (6th Edition):

Jordan-Wagner, J. M. (. M. (1988). Arbitrage Pricing Theory and the Capital Asset Pricing Model: Evidence from the Eurodollar Bond Market. (Thesis). University of North Texas. Retrieved from https://digital.library.unt.edu/ark:/67531/metadc330578/

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16th Edition):

Jordan-Wagner, James M (James Michael). “Arbitrage Pricing Theory and the Capital Asset Pricing Model: Evidence from the Eurodollar Bond Market.” 1988. Thesis, University of North Texas. Accessed March 20, 2019. https://digital.library.unt.edu/ark:/67531/metadc330578/.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7th Edition):

Jordan-Wagner, James M (James Michael). “Arbitrage Pricing Theory and the Capital Asset Pricing Model: Evidence from the Eurodollar Bond Market.” 1988. Web. 20 Mar 2019.

Vancouver:

Jordan-Wagner JM(M. Arbitrage Pricing Theory and the Capital Asset Pricing Model: Evidence from the Eurodollar Bond Market. [Internet] [Thesis]. University of North Texas; 1988. [cited 2019 Mar 20]. Available from: https://digital.library.unt.edu/ark:/67531/metadc330578/.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

Jordan-Wagner JM(M. Arbitrage Pricing Theory and the Capital Asset Pricing Model: Evidence from the Eurodollar Bond Market. [Thesis]. University of North Texas; 1988. Available from: https://digital.library.unt.edu/ark:/67531/metadc330578/

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation


University of North Texas

5. Zoubi, Marwan M. Sharif (Marwan Mohd Sharif). The Wealth Effect of the Risk-Based Capital Regulation on the Commercial Banking Industry.

Degree: 1994, University of North Texas

 The purpose of this study is to examine the wealth effect of the Risk-Based Capital (RBC) regulation on the U.S. commercial banking industry. The RBC… (more)

Subjects/Keywords: banking; wealth; risk-based capital; Banks and banking  – United States.; Bank capital  – Law and legislation  – United States.

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APA (6th Edition):

Zoubi, M. M. S. (. M. S. (1994). The Wealth Effect of the Risk-Based Capital Regulation on the Commercial Banking Industry. (Thesis). University of North Texas. Retrieved from https://digital.library.unt.edu/ark:/67531/metadc278264/

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16th Edition):

Zoubi, Marwan M Sharif (Marwan Mohd Sharif). “The Wealth Effect of the Risk-Based Capital Regulation on the Commercial Banking Industry.” 1994. Thesis, University of North Texas. Accessed March 20, 2019. https://digital.library.unt.edu/ark:/67531/metadc278264/.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7th Edition):

Zoubi, Marwan M Sharif (Marwan Mohd Sharif). “The Wealth Effect of the Risk-Based Capital Regulation on the Commercial Banking Industry.” 1994. Web. 20 Mar 2019.

Vancouver:

Zoubi MMS(MS. The Wealth Effect of the Risk-Based Capital Regulation on the Commercial Banking Industry. [Internet] [Thesis]. University of North Texas; 1994. [cited 2019 Mar 20]. Available from: https://digital.library.unt.edu/ark:/67531/metadc278264/.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

Zoubi MMS(MS. The Wealth Effect of the Risk-Based Capital Regulation on the Commercial Banking Industry. [Thesis]. University of North Texas; 1994. Available from: https://digital.library.unt.edu/ark:/67531/metadc278264/

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation


University of North Texas

6. Sangmanee, Amporn. An Empirical Analysis of Stock Market Anomalies and Spillover Effects: Evidence from the Securities Exchange of Thailand.

Degree: 1994, University of North Texas

 This study examines two interrelated but separate issues: cross-sectional predictability of equity returns in the Stock Exchange of Thailand (SET), and transmission of stock market… (more)

Subjects/Keywords: Stock Exchange of Thailand; New York Stock Exchange; finance; stock returns; Stock exchanges  – Thailand.; Stock exchanges.

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APA (6th Edition):

Sangmanee, A. (1994). An Empirical Analysis of Stock Market Anomalies and Spillover Effects: Evidence from the Securities Exchange of Thailand. (Thesis). University of North Texas. Retrieved from https://digital.library.unt.edu/ark:/67531/metadc277737/

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16th Edition):

Sangmanee, Amporn. “An Empirical Analysis of Stock Market Anomalies and Spillover Effects: Evidence from the Securities Exchange of Thailand.” 1994. Thesis, University of North Texas. Accessed March 20, 2019. https://digital.library.unt.edu/ark:/67531/metadc277737/.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7th Edition):

Sangmanee, Amporn. “An Empirical Analysis of Stock Market Anomalies and Spillover Effects: Evidence from the Securities Exchange of Thailand.” 1994. Web. 20 Mar 2019.

Vancouver:

Sangmanee A. An Empirical Analysis of Stock Market Anomalies and Spillover Effects: Evidence from the Securities Exchange of Thailand. [Internet] [Thesis]. University of North Texas; 1994. [cited 2019 Mar 20]. Available from: https://digital.library.unt.edu/ark:/67531/metadc277737/.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

Sangmanee A. An Empirical Analysis of Stock Market Anomalies and Spillover Effects: Evidence from the Securities Exchange of Thailand. [Thesis]. University of North Texas; 1994. Available from: https://digital.library.unt.edu/ark:/67531/metadc277737/

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation


University of North Texas

7. Tiwari, Rajesh Kumar. A Theory of the Role of Medium of Exchange in Mergers and Acquisitions.

Degree: 1994, University of North Texas

 An acquisition bid is like any other proposal for risky investment. The difference arises due to additional source of risk arising from two different sources… (more)

Subjects/Keywords: Consolidation and merger of corporations.; Exchange.; mergers; aquisitions; exchanges

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APA (6th Edition):

Tiwari, R. K. (1994). A Theory of the Role of Medium of Exchange in Mergers and Acquisitions. (Thesis). University of North Texas. Retrieved from https://digital.library.unt.edu/ark:/67531/metadc278630/

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16th Edition):

Tiwari, Rajesh Kumar. “A Theory of the Role of Medium of Exchange in Mergers and Acquisitions.” 1994. Thesis, University of North Texas. Accessed March 20, 2019. https://digital.library.unt.edu/ark:/67531/metadc278630/.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7th Edition):

Tiwari, Rajesh Kumar. “A Theory of the Role of Medium of Exchange in Mergers and Acquisitions.” 1994. Web. 20 Mar 2019.

Vancouver:

Tiwari RK. A Theory of the Role of Medium of Exchange in Mergers and Acquisitions. [Internet] [Thesis]. University of North Texas; 1994. [cited 2019 Mar 20]. Available from: https://digital.library.unt.edu/ark:/67531/metadc278630/.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

Tiwari RK. A Theory of the Role of Medium of Exchange in Mergers and Acquisitions. [Thesis]. University of North Texas; 1994. Available from: https://digital.library.unt.edu/ark:/67531/metadc278630/

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation


University of North Texas

8. Springstube, Woodard R. (Woodard Rex). Studies in Bank Contagion: Three Regulatory Events.

Degree: 1998, University of North Texas

 This research describes an analysis, using event-study methodology, of the reaction of the stock returns of a sample, drawn from the one-hundred largest bank holding… (more)

Subjects/Keywords: Bank regulation; Bank contagion; Banking law.; Stocks  – Prices  – Case studies.; Capital market.

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APA (6th Edition):

Springstube, W. R. (. R. (1998). Studies in Bank Contagion: Three Regulatory Events. (Thesis). University of North Texas. Retrieved from https://digital.library.unt.edu/ark:/67531/metadc279347/

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16th Edition):

Springstube, Woodard R (Woodard Rex). “Studies in Bank Contagion: Three Regulatory Events.” 1998. Thesis, University of North Texas. Accessed March 20, 2019. https://digital.library.unt.edu/ark:/67531/metadc279347/.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7th Edition):

Springstube, Woodard R (Woodard Rex). “Studies in Bank Contagion: Three Regulatory Events.” 1998. Web. 20 Mar 2019.

Vancouver:

Springstube WR(R. Studies in Bank Contagion: Three Regulatory Events. [Internet] [Thesis]. University of North Texas; 1998. [cited 2019 Mar 20]. Available from: https://digital.library.unt.edu/ark:/67531/metadc279347/.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

Springstube WR(R. Studies in Bank Contagion: Three Regulatory Events. [Thesis]. University of North Texas; 1998. Available from: https://digital.library.unt.edu/ark:/67531/metadc279347/

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation


University of North Texas

9. Forjan, James M. (James Martin). Three Essays in Corporate Governance.

Degree: 1993, University of North Texas

 Corporate governance issues have become increasingly important to financial managers and shareholders. Firms that are plagued by poor performance, incompetent managers, or excess agency costs… (more)

Subjects/Keywords: corporate governance; shareholders; Corporate governance.; Corporations  – Investor relations.; Stockholders.

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APA (6th Edition):

Forjan, J. M. (. M. (1993). Three Essays in Corporate Governance. (Thesis). University of North Texas. Retrieved from https://digital.library.unt.edu/ark:/67531/metadc279351/

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16th Edition):

Forjan, James M (James Martin). “Three Essays in Corporate Governance.” 1993. Thesis, University of North Texas. Accessed March 20, 2019. https://digital.library.unt.edu/ark:/67531/metadc279351/.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7th Edition):

Forjan, James M (James Martin). “Three Essays in Corporate Governance.” 1993. Web. 20 Mar 2019.

Vancouver:

Forjan JM(M. Three Essays in Corporate Governance. [Internet] [Thesis]. University of North Texas; 1993. [cited 2019 Mar 20]. Available from: https://digital.library.unt.edu/ark:/67531/metadc279351/.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

Forjan JM(M. Three Essays in Corporate Governance. [Thesis]. University of North Texas; 1993. Available from: https://digital.library.unt.edu/ark:/67531/metadc279351/

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation


University of North Texas

10. Meera, Ahamed Kameel. The Effects of Stock Delistings on Firm Value, Risk, Market Liquidity and Market Integration: With Evidence on Wealth Effects from the Stock Exchanges of Malaysia and Singapore, Using GARCH.

Degree: 1996, University of North Texas

 This study examines the effects of delisting on firm value, risk and market liquidity. In a world where markets are becoming increasingly integrated, delistings may… (more)

Subjects/Keywords: Stock exchanges  – Malaysia.; Stock exchanges  – Singapore.; stock delisting; market liquidity; market integration; stock exchange

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APA (6th Edition):

Meera, A. K. (1996). The Effects of Stock Delistings on Firm Value, Risk, Market Liquidity and Market Integration: With Evidence on Wealth Effects from the Stock Exchanges of Malaysia and Singapore, Using GARCH. (Thesis). University of North Texas. Retrieved from https://digital.library.unt.edu/ark:/67531/metadc278898/

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16th Edition):

Meera, Ahamed Kameel. “The Effects of Stock Delistings on Firm Value, Risk, Market Liquidity and Market Integration: With Evidence on Wealth Effects from the Stock Exchanges of Malaysia and Singapore, Using GARCH.” 1996. Thesis, University of North Texas. Accessed March 20, 2019. https://digital.library.unt.edu/ark:/67531/metadc278898/.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7th Edition):

Meera, Ahamed Kameel. “The Effects of Stock Delistings on Firm Value, Risk, Market Liquidity and Market Integration: With Evidence on Wealth Effects from the Stock Exchanges of Malaysia and Singapore, Using GARCH.” 1996. Web. 20 Mar 2019.

Vancouver:

Meera AK. The Effects of Stock Delistings on Firm Value, Risk, Market Liquidity and Market Integration: With Evidence on Wealth Effects from the Stock Exchanges of Malaysia and Singapore, Using GARCH. [Internet] [Thesis]. University of North Texas; 1996. [cited 2019 Mar 20]. Available from: https://digital.library.unt.edu/ark:/67531/metadc278898/.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

Meera AK. The Effects of Stock Delistings on Firm Value, Risk, Market Liquidity and Market Integration: With Evidence on Wealth Effects from the Stock Exchanges of Malaysia and Singapore, Using GARCH. [Thesis]. University of North Texas; 1996. Available from: https://digital.library.unt.edu/ark:/67531/metadc278898/

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation


University of North Texas

11. Smith, Pamela Ann, 1959-. The Early Adoption of Accounting Standards as an Earnings Management Tool.

Degree: 1993, University of North Texas

 Many corporate managers elect to adopt a new Statement of Financial Accounting Standard (SFAS) early instead of waiting until the mandatory adoption date. This study… (more)

Subjects/Keywords: Accounting  – Standards.; Financial statements.; earnings management; accounting standards

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APA (6th Edition):

Smith, Pamela Ann, 1. (1993). The Early Adoption of Accounting Standards as an Earnings Management Tool. (Thesis). University of North Texas. Retrieved from https://digital.library.unt.edu/ark:/67531/metadc278742/

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16th Edition):

Smith, Pamela Ann, 1959-. “The Early Adoption of Accounting Standards as an Earnings Management Tool.” 1993. Thesis, University of North Texas. Accessed March 20, 2019. https://digital.library.unt.edu/ark:/67531/metadc278742/.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7th Edition):

Smith, Pamela Ann, 1959-. “The Early Adoption of Accounting Standards as an Earnings Management Tool.” 1993. Web. 20 Mar 2019.

Vancouver:

Smith, Pamela Ann 1. The Early Adoption of Accounting Standards as an Earnings Management Tool. [Internet] [Thesis]. University of North Texas; 1993. [cited 2019 Mar 20]. Available from: https://digital.library.unt.edu/ark:/67531/metadc278742/.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

Smith, Pamela Ann 1. The Early Adoption of Accounting Standards as an Earnings Management Tool. [Thesis]. University of North Texas; 1993. Available from: https://digital.library.unt.edu/ark:/67531/metadc278742/

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation


University of North Texas

12. Iqbal, Zahid. Information Content of Managerial Decisions, Change in Risk, and Complimentary Signals: Evidence on New Bond Issue, Exchange Offer, and Dividend Payments.

Degree: 1988, University of North Texas

 The effect of a change in capital structure on the risk and return of common stockholders is investigated. Also, the information content of dividends when… (more)

Subjects/Keywords: common stock beta; financial leverage; dividends; stockholders; Corporations  – Finance.; Stocks.; Bonds.; Decision making.; Risk.; Dividends.

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APA (6th Edition):

Iqbal, Z. (1988). Information Content of Managerial Decisions, Change in Risk, and Complimentary Signals: Evidence on New Bond Issue, Exchange Offer, and Dividend Payments. (Thesis). University of North Texas. Retrieved from https://digital.library.unt.edu/ark:/67531/metadc332069/

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16th Edition):

Iqbal, Zahid. “Information Content of Managerial Decisions, Change in Risk, and Complimentary Signals: Evidence on New Bond Issue, Exchange Offer, and Dividend Payments.” 1988. Thesis, University of North Texas. Accessed March 20, 2019. https://digital.library.unt.edu/ark:/67531/metadc332069/.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7th Edition):

Iqbal, Zahid. “Information Content of Managerial Decisions, Change in Risk, and Complimentary Signals: Evidence on New Bond Issue, Exchange Offer, and Dividend Payments.” 1988. Web. 20 Mar 2019.

Vancouver:

Iqbal Z. Information Content of Managerial Decisions, Change in Risk, and Complimentary Signals: Evidence on New Bond Issue, Exchange Offer, and Dividend Payments. [Internet] [Thesis]. University of North Texas; 1988. [cited 2019 Mar 20]. Available from: https://digital.library.unt.edu/ark:/67531/metadc332069/.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

Iqbal Z. Information Content of Managerial Decisions, Change in Risk, and Complimentary Signals: Evidence on New Bond Issue, Exchange Offer, and Dividend Payments. [Thesis]. University of North Texas; 1988. Available from: https://digital.library.unt.edu/ark:/67531/metadc332069/

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

.