Selasa, 20 Januari 2009

Jurnal Bahasa Inggris

No Judul
1 ABN AMRO managing interest rates risk
2 Accounting and the public interest All the world’s a stage
3 An Empirical Analysis of Net Interest Cost, the Probability of Default and the Credit Risk Premium A Case Study Using the Commonwealth of Virginia
4 An Examination of Underperformance and Liquidity of Initial Public Offerings by High Growth Stocks on the German Neuer Markt
5 Analysis of PE Ratios and Interest Rates
6 Bank Stock Return Sensitivities to the Long-term and Short-term Interest Rates A Multivariate GARCH Approach
7 Cross- Listing and Firm Liquidity on the Stock Exchange of Hong Kong
8 Dividend Innova tions and Volatility of Stock Returns
9 Eucken on Capital and Interest
10 Explaining the Behaviour of Stock Prices in an Emerging Market An Empirical Analysis of the Greek Stock Market
11 Granger Causality Tests of Stock Returns The US and Japanese Stock Markets
12 Household consumption of stock cubes and stock powder in the Vaal Triangle of SA
13 Housing stock the facilities for future development
14 Intangible Assets and Stock Trading Strategies
15 Interest rate risk and time-varying excess returns for Asian property stocks
16 interest rates, saving and income in the chinese economy
17 International Interest Rate Linkages Implications for Monetary Policy
18 Liability-driven investment can the fixed interest market deliver
19 Liquidity, Solvency and Cash Flow Simulation Models in Non-life Insurance Companies The Italian Experience
20 Measuring Liquidity Risk in a Banking Management Framework
21 Nominal interest rates and inflation in the Pacific-Basin countries
22 optimal menetary policy and term structure of interest rates a note
23 Predictability and Volatility of Stock Returns
24 Psychic stock an independent variable category of inventory
25 Real estate and Stock returns a multivariate VAREC model
26 Shortages, interest rates and money demand in Poland, 1969-1993
27 Stock bonus compensation and firm performance in Taiwan
28 Stock return volatility in emerging market
29 Strategic alignment and the supply chain for the steel stockholder sector an exploratory case study analysis
30 strategy employee resistance and integration
31 Taking Stock at the New Millennium A Study of Twelve Stock Markets
32 The bombay stock exchange seasonalities and investment opportunities
33 The Cross-Section of Expected Stock Returns An Empirical Study in the Athens Stock Exchange]
34 The Determinants of Stock Prices Evidence From The United Kingdom Stock Market
35 The demand for external auditing managerial share ownership, size, gearing and liquidity influences
36 the impact of interest rates upon housing price an empirical study of hongkong market