Items where Division is "John Molson School of Business" and Year is 2000
Thesis
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.
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.
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.
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'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.
Murray, John Garrett (2000) The performance of tilting strategies for the Toronto stock exchange 300 composite index. Masters thesis, Concordia University.
Noel, Emmanuel Alister (2000) An empirical examination of Bloomberg's macroeconomic forecasts of the G-7 nations. Masters thesis, Concordia University.
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.
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.
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.
Vieru, Dragos (2000) A model for telemedicine adoption : a survey of physicians in the provinces of Québec and Nova Scotia. Masters thesis, Concordia University.