[BOOK][B] International financial management

J Madura, A Hoque, C Krishnamrti - 2018 - books.google.com
Equip your students for success in international finance with the unrivalled depth of theory
and practical applications presented in Madura, Hoque and Krishnamurti's INTERNATIONAL …

Long-term valuation effects of bank acquisitions

J Madura, KJ Wiant - Journal of Banking & Finance, 1994 - Elsevier
This study measures the abnormal performance of banks subsequent to their acquisitions of
other banks. We find a strong negative share price reaction following the acquisition, which …

[BOOK][B] Financial markets and institutions

J Madura - 2015 - thuvienso.hoasen.edu.vn
he text weaves timely examples and practical applications throughout as it emphasizes the
securities traded by and the scope of participation of financial institutions within each market. …

REIT characteristics and the sensitivity of REIT returns

MT Allen, J Madura, TM Springer - The Journal of Real Estate Finance and …, 2000 - Springer
Previous research on the returns to real estate investment trusts (REITs) has considered
whether REITs are systematically exposed to general stock-market risk and interest-rate risk. …

Optimal bank interest margin under capital regulation and deposit insurance

ER Zarruk, J Madura - Journal of Financial and Quantitative analysis, 1992 - cambridge.org
This paper examines the relationships among capital regulation, deposit insurance, and the
optimal bank interest margin. In a model where loan losses are the source of uncertainty, …

Dividend policy and corporate performance

A Akhigbe, J Madura - Journal of Business Finance & …, 1996 - Wiley Online Library
Substantial research has been conducted to determine the signal that results from dividend
initiations and omissions. Our study extends from previous research by measuring the long‐…

Performance comparison between exchange-traded funds and closed-end country funds

JT Harper, J Madura, O Schnusenberg - Journal of International Financial …, 2006 - Elsevier
The objective of this study is to compare the risk and return performance of exchange-traded
funds (ETFs) available for foreign markets and closed-end country funds. We utilize 29 …

Sources of bank interest rate risk

DR Fraser, J Madura, RA Weigand - Financial Review, 2002 - Wiley Online Library
We investigate bank stocks’sensitivity to changes in interest rates and the factors affecting
this sensitivity. We focus on whether the exposure of commercial banks to interest rate risk is …

The short run demand for major league baseball

JR Hill, J Madura, RA Zuber - Atlantic Economic Journal, 1982 - Springer
Conclusions In this paper an attempt was made to analyze those factors which determine
the short run demand for baseball. This work represents the first of its kind in the baseball …

What drives stock price behavior following extreme one‐day returns

SJ Larson, J Madura - Journal of Financial Research, 2003 - Wiley Online Library
We identify samples of losers and winners by selecting daily stock price returns in excess of
10% (sign ignored) and determine whether these samples over‐ or underreact. We then …