All Stories

  1. Retaining Majority Ownership and Control After the IPO
  2. Cross-Border Bank Mergers and Acquisitions: What Factors Pull and Push Banks Together?
  3. Does it help to have friends in high places? Bank stock performance and congressional committee chairmanships
  4. Corporate risk and corporate governance: another view
  5. Gramm-Leach-Bliley Act: Creating a New Bank for a New Millenium
  6. Global trends: U.S. IPO market declines
  7. Real Options and Their Impact on M&As
  8. US enacts sweeping financial reform legislation
  9. A note on foreign bank ownership and monitoring: An international comparison
  10. To be euro or not to be euro: a comparative analysis of banking systems
  11. Gramm-leach-bliley act: Creating a new bank for a new millenium
  12. Real options: valuing flexibility in strategic mergers and acquisitions as an exchange ratio swap
  13. The effect of ESOP adoptions on corporate performance: are there really performance changes?
  14. ESOPs, takeover protection, and corporate decision-making
  15. Service quality in the banking industry: an assessment in a developing economy
  16. Agency problems and the simultaneity of financial decision making
  17. Abnormal returns of thrift versus non-thrift IPOs
  18. A Multi-Country Analysis of Bank Capital and Earnings
  19. The effect of takeover defenses on the dividend decision
  20. Risk‐Taking in the Texas S&L Industry: Charter and Ownership Effects
  21. S&L Closures and Survivors: Are there Systematic Differences in Behavior?
  22. Firm‐diversification effects on performance as measured by tobin's q
  23. Ownership effects on operating strategies: Evidence of expense‐preference behavior in the hospital industry
  24. Further Evidence on the Relationship Between Ownership and Performance
  25. The influence of ownership on performance: An empirical study
  26. Stock Repurchases and Excess Returns: An Empirical Examination
  27. Exchange Listing and Size: Effects On Excess Returns
  28. THE RELATIONSHIP BETWEEN FINANCIAL PERFORMANCE AND STOCK MARKET BASED MEASURES OF CORPORATE DIVERSIFICATION
  29. THE RELATIONSHIP BETWEEN INTERNAL DIVERSIFICATION AND FINANCIAL PERFORMANC
  30. Portfolio theory with application to bank asset management
  31. AGENCY COSTS AND DIVIDEND PAYOUT RATIOS
  32. A note on the intracyclical balance-sheet behavior of large commercial banks 1972–1978
  33. MARKET RISK MEASUREMENT IN COMMERICAL BANKING
  34. Expense-Preference Behavior in the Savings and Loan Industry
  35. Gramm-leach-bliley act: Creating a new bank for a new millenium
  36. MEASURING AND ACCOUNTING FOR MARKET PRICE RISK TRADEOFFS AS REAL OPTIONS IN STOCK FOR STOCK EXCHANGES