World Scientific Book Chapters
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- Ch 110 An Integral Equation Approach for Bond Prices with Applications to Credit Spreads , pp 3849-3866

- Yu-Ting Chen, Cheng Few Lee and Yuan-Chung Sheu
- Ch 110 Differential Effect of Inside Debt, CEO Compensation Diversification, and Firm Investment , pp 3627-3680

- Cheng Few Lee, Chengru Hu and Maggie Foley
- Ch 110 BARRIERS FOR E-BUSINESS ENTREPRENEURSHIP: THE GENDER ASPECT , pp 605-608

- Panagiotis Trivellas, Ilias Santouridis and Zoe Akrivouli
- Ch 111 Sample Selection Issues and Applications , pp 3867-3885

- Hwei-Lin Chuang and Shih-Yung Chiu
- Ch 111 A CASE STUDY IN ECONOMIC VALUE ADDED: MEASURING AND REWARDING PERFORMANCE IN A DIVISIONALIZED COMPANY , pp 609-613

- Evdokia Tsifora and Panagiotis Trivellas
- Ch 111 Optimal Payout Ratio under Uncertainty and the Flexibility Hypothesis: Theory, Empirical Evidence, and Implications , pp 3681-3731

- Cheng Few Lee, Manak C. Gupta, Hong-Yi Chen and Alice C. Lee
- Ch 112 MANAGERIAL MODEL TO IMPLEMENT THE THREE DIMENSIONS OF CSR BASED ON THE DEMING'S CIRCLE , pp 614-617

- Mary Vaxevanidou, Panagiotis Reklitis and Christos Akrivos
- Ch 112 Sustainable Growth Rate, Optimal Growth Rate, and Optimal Payout Ratio: A Joint Optimization Approach , pp 3733-3779

- Hong-Yi Chen, Manak C. Gupta, Alice C. Lee and Cheng Few Lee
- Ch 112 Time Series and Neural Network Analysis , pp 3887-3931

- K. C. Tseng, Ojoung Kwon and Luna C. Tjung
- Ch 113 Covariance Regression Model for Non-Normal Data , pp 3933-3945

- Tao Zou, Ronghua Luo, Wei Lan and Chih-Ling Tsai
- Ch 114 Impacts of Time Aggregation on Beta Value and R2 Estimations Under Additive and Multiplicative Assumptions: Theoretical Results and Empirical Evidence , pp 3947-3984

- Yuanyuan Xiao, Yushan Tang and Cheng Few Lee
- Ch 115 Large-Sample Theory , pp 3985-3999

- Sunil Poshakwale and Anandadeep Mandal
- Ch 116 Impacts of Measurement Errors on Simultaneous Equation Estimation of Dividend and Investment Decisions , pp 4001-4023

- Cheng Few Lee and Fu-Lai Lin
- Ch 117 Big Data and Artificial Intelligence in the Banking Industry , pp 4025-4041

- T. Robert Yu and Xuehu Song
- Ch 118 A Non-Parametric Examination of Emerging Equity Markets Financial Integration , pp 4043-4074

- Ke Yang, Susan Wahab, Bharat Kolluri and Mahmoud Wahab
- Ch 119 Algorithmic Analyst (ALAN) — An Application for Artificial Intelligence Content as a Service , pp 4075-4086

- Ted Hong, Daniel Lee and Wenching Wang
- Ch 120 Survival Analysis: Theory and Application in Finance , pp 4087-4118

- Feng Gao and Xiaomin He
- Ch 121 Pricing Liquidity in the Stock Market , pp 4119-4148

- Ding Du and Ou Hu
- Ch 122 The Evolution of Capital Asset Pricing Models: Update and Extension , pp 4149-4207

- Yi-Cheng Shih, Sheng-Syan Chen, Cheng Few Lee and Po-Jung Chen
- Ch 123 The Multivariate GARCH Model and its Application to East Asian Financial Market Integration , pp 4209-4254

- Yoshihiko Tsukuda, Junji Shimada and Tatsuyoshi Miyakoshi
- Ch 124 Review of Difference-in-Difference Analyses in Social Sciences: Application in Policy Test Research , pp 4255-4280

- William H. Greene and Min (Shirley) Liu
- Ch 125 Using Smooth Transition Regressions to Model Risk Regimes , pp 4281-4311

- Liam Gallagher, Mark C. Hutchinson and John O’Brien
- Ch 126 Application of Discriminant Analysis, Factor Analysis, Logistic Regression, and KMV-Merton Model in Credit Risk Analysis , pp 4313-4348

- Cheng Few Lee and Hai-Chin Yu
- Ch 127 Predicting Credit Card Delinquencies: An Application of Deep Neural Networks , pp 4349-4381

- Ting Sun and Miklos A. Vasarhalyi
- Ch 128 Estimating the Tax-Timing Option Value of Corporate Bonds , pp 4383-4419

- Peter Huaiyu Chen, Sheen Liu and Chunchi Wu
- Ch 129 DCC-GARCH Model for Market and Firm-Level Dynamic Correlation in S&P 500 , pp 4421-4440

- Peimin Chen, Chunchi Wu and Ying Zhang
- Ch 130 Using Path Analysis to Integrate Accounting and Non-Financial Information: The Case for Revenue Drivers of Internet Stocks , pp 4441-4472

- Anthony Kozberg
- Ch 131 The Implications of Regulation in the Community Banking Sector: Risk and Competition , pp 4473-4507

- Gregory McKee and Albert Kagan
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