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Items where Division is "John Molson School of Business" and Year is 2000

Group by: Authors | Item Type | No Grouping
Jump to: B | C | D | K | L | M | N | P | R | S | V
Number of items: 24.

B

Balkir, Ibrahim H (2000) Effects of analytical review results, optimism and patterns-for-coping on audit effort of accounting estimates. PhD thesis, Concordia University.

Belanger, Marcel (2000) Risk arbitrage trading and the characteristics of arbitrage spreads : the Canadian evidence. Masters thesis, Concordia University.

Bogue, Matthew Robert (2000) Detecting long-run abnormal stock returns : the empirical power and specification of test statistics : the Canadian evidence. Masters thesis, Concordia University.

C

Cleveland, Mark (2000) An international empirical comparison of in-store information search antecedents for a Christmas gift. Masters thesis, Concordia University.

Close, Tamara Gray (2000) Volatility swaps and their use in currency risk management. Masters thesis, Concordia University.

D

De Baudus, David (2000) On international monetary environment and stock returns. Masters thesis, Concordia University.

Dimmock, Stephen G (2000) The book-to-market ratio and Schwert-Seguin type tests of volatility. Masters thesis, Concordia University.

Donia, Magda (2000) RDP : a management intervention in the prevention of survivor syndrome. Masters thesis, Concordia University.

K

Kappos, Antonio (2000) Organizational culture and the achievement of ERP strategic advantages and BPR performance improvements. Masters thesis, Concordia University.

Kastoun, Rony J (2000) Culture change and the consumption of basic foods : the case of Lebanese-Canadians. Masters thesis, Concordia University.

Khoury, Khalil (2000) The Amman financial market : institutional features and calandar [sic] effects. Masters thesis, Concordia University.

L

L'Heureux, Julie (2000) Canadian market reaction to dividend omission and resumption announcements. Masters thesis, Concordia University.

Liang, Xinghua (2000) Survivorship bias in mutual fund performance : evidence in Canadian mutual funds. Masters thesis, Concordia University.

Liu, Yue (2000) Empirical tests of the clean surplus valuation model : Canadian evidence. Masters thesis, Concordia University.

M

Murray, John Garrett (2000) The performance of tilting strategies for the Toronto stock exchange 300 composite index. Masters thesis, Concordia University.

N

Noel, Emmanuel Alister (2000) An empirical examination of Bloomberg's macroeconomic forecasts of the G-7 nations. Masters thesis, Concordia University.

P

Padilla, Rodrigo A (2000) The image of countries and their products at the subcultural level : investigating differences between English and French Canadian consumers. Masters thesis, Concordia University.

Patton, Eric (2000) Downsizing through the use of early retirement incentives : a case study. Masters thesis, Concordia University.

Pelletier, Èveline (2000) The transfer of catastrophe event risk to the capital markets over the 1990s : an analysis of the process. Masters thesis, Concordia University.

Piron, Marie-Christine (2000) The network characteristics, the dimensions of network ties, the characteristics of network ties and their impact on managerial effectiveness. Masters thesis, Concordia University.

R

Rhéaume, Louis (2000) Value creation in evolving information industries : the effects of U.S. mergers. Masters thesis, Concordia University.

Rodriguez, Silvia (2000) The post-deregulation impact on the Canadian financial services industry's mergers and acquisitions. Masters thesis, Concordia University.

S

Saleh, Katayoun (2000) An experimental investigation of the effects of perceived co-consumer age on younger consumers' expectations of service quality. Masters thesis, Concordia University.

V

Vieru, Dragos (2000) A model for telemedicine adoption : a survey of physicians in the provinces of Québec and Nova Scotia. Masters thesis, Concordia University.

This list was generated on Tue Apr 16 03:06:34 2024 EDT.
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