Business & Economics
Euro Area
100%
Cash Holdings
51%
Trade Credit
47%
New Firms
44%
Bayesian Modeling
35%
Sovereign Debt Crises
31%
Predictability
31%
Bond Spreads
28%
Support Vector Regression
28%
Firm Survival
26%
Government Bonds
23%
Portfolio Optimization
22%
Euro Zone
21%
Inventory Management
21%
Financial Development
20%
Firm Employment Decision
19%
Precautionary Motive
17%
Heuristics
16%
Corporate Social Responsibility
16%
Trade-offs
15%
State-owned Enterprises
14%
Forecast Combination
14%
Cash
14%
Manufacturing Firms
13%
Dynamic Conditional Correlation
13%
Diversification Benefits
12%
Financial Intermediation
12%
Copula
11%
European Economy
10%
Predictors
10%
Metaheuristics
9%
Financial Constraints
9%
Model Averaging
9%
Small and Medium-sized Enterprises (SMEs)
9%
Financial Crisis
8%
Asymmetric Dependence
7%
Unbalanced Panels
7%
Accounting Ratio
7%
Performance
7%
External Finance
7%
Factors
7%
Portfolio Allocation
6%
Differentiated Products
6%
Conditional Value at Risk
5%
Finance
5%
Optimal Portfolio
5%
Instrumental Variables
5%
Autoregressive Moving Average
5%
Cash Flow
5%