Skip to main navigation
Skip to search
Skip to main content
Sort by
Economics, Econometrics and Finance
Capital Market Returns
100%
Investors
75%
United States of America
66%
Emerging Economies
45%
Equity Capital
42%
Cash Flow
41%
Volatility
40%
Stock Price
39%
Factor Model
27%
Arbitrage
27%
Cost of Equity
26%
Stock Exchange
23%
Executive Compensation
23%
Capital Investment
23%
Corporate Governance
22%
Measure of Dispersion
21%
Firm Characteristic
21%
Market Portfolio
19%
Asset Pricing
19%
Pricing
19%
CAPM
19%
Expected Return
19%
Corporate Finance
19%
Capital Market
18%
Investor Protection
18%
Market Value
17%
Retail Investors
17%
Developed Market
17%
Risk Factor
16%
Initial Public Offering
15%
Seasoned Equity Offering
15%
Trading Volume
15%
Capital Stock
15%
Market Development
15%
Market Volatility
15%
Investment Horizon
15%
Investment
13%
External Financing
13%
Free Cash Flow
13%
Financial Economics
12%
Financial Crisis
11%
Institutional Investor
11%
Idiosyncratic Volatility
11%
Shareholder Rights
11%
Financial Market
11%
Firm Performance
11%
Information Asymmetry
11%
Finance
11%
Hedging
11%
Ownership Structure
11%
Keyphrases
Stock Returns
56%
Corporate Governance
25%
Capital Investment
23%
China
21%
Cross-sectional Stock Returns
21%
Limits-to-arbitrage
20%
Underpricing
19%
Asset Prices
18%
Corporate Finance
17%
Stock Prices
16%
Investment Frictions
15%
Capital Stock
15%
Return on Investment
15%
New Evidence
15%
Investment Effect
15%
Capital Asset Pricing Model
15%
Accruals
15%
P-q Theory
14%
Cash Flow News
13%
External Financing
13%
Risk Factors
12%
Market Portfolio
12%
Fama-French Five-factor Model
11%
Expected Returns
11%
Cash Flow
11%
Cost of Equity Capital
10%
Idiosyncratic Volatility
10%
Short Selling
10%
Financial Crisis
10%
Retail Investors
10%
Stock Market Returns
10%
Dividends
10%
Momentum Effect
10%
Japan
9%
Risk-return Relation
9%
Ownership Structure
9%
Market Value
9%
Asset Pricing
9%
Short-sale Constraints
9%
Business Performance
9%
Earnings Announcements
9%
Price Momentum
9%
Investor Overconfidence
9%
Investor Protection
8%
Developed Markets
8%
Systematic Risk
7%
Stock Market Volatility
7%
Initial Public Offerings
7%
Seasoned Equity Offerings
7%
Book-to-market Ratio
7%