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Volume 45(5); Dec 2016
Asset Allocation Model on Fully Funded System with Funding Ratio at Risk (FRaR)
Yong Gi Kim, Dae Sik Kim, Jaehyun Lee
Korean J Financ Stud.
2016;45(5):953-970.
Published online December 31, 2016
PDF
Analyst Informativeness and Investors` Trading Behavior: Focus on IPOs
Byungkwon Lim, Pyung Sig Yoon, Soonhong Park
Korean J Financ Stud.
2016;45(5):971-999.
Published online December 31, 2016
PDF
Idiosyncratic Kurtosis and the Cross-Section of Stock Returns
Jeewon Jang
Korean J Financ Stud.
2016;45(5):1001-1034.
Published online December 31, 2016
PDF
Performance Characteristics of KOSPI200 Index Funds
Juil Ban, Sungsin Kim, Sehoon Kwon
Korean J Financ Stud.
2016;45(5):1035-1074.
Published online December 31, 2016
PDF
The Effect of Managerial Decision Making on the Shareholders Wealth in KOSDAQ: Disclosure of IR and Stock Repurchase
Jong Seon Kim, Chul Joong Kim, Se Heon Yoon
Korean J Financ Stud.
2016;45(5):1075-1096.
Published online December 31, 2016
PDF
A Study on the Financial Distress Risk Puzzle in Korea
Inro Lee, Dongcheol Kim
Korean J Financ Stud.
2016;45(5):1097-1129.
Published online December 31, 2016
PDF
Institutional Trading, Stock Liquidity, and Firm Value
Hyung Chul Lee
Korean J Financ Stud.
2016;45(5):1131-1165.
Published online December 31, 2016
PDF
Directors` and Officers` Liability Insurance and Corporate Risk-Taking
Byungmo Kim, Joon Ho Hwang
Korean J Financ Stud.
2016;45(5):1167-1197.
Published online December 31, 2016
PDF
ABOUT
Aims and scope
Abstracting and indexing
About the journal
Editorial board
Open access
Subscription information
Management team
Best practice
Contact us
BROWSE ARTICLES
Current issue
All issues
Ahead-of print
Most viewed
Most download
Most cited
Funded articles
Search
Author index
EDITORIAL POLICY
Research and publication ethics
Advertising policies
FOR CONTRIBUTORS
For Authors
Instructions to authors
Copyright transfer agreement
Article-processing charge
E-Submission
For Reviewers
Instructions for reviewers
How to become a reviewer?