Digitale Bibliotheek
Sluiten Bladeren door artikelen uit een tijdschrift
     Tijdschrift beschrijving
       Alle jaargangen van het bijbehorende tijdschrift
         Alle afleveringen van het bijbehorende jaargang
                                       Alle artikelen van de bijbehorende aflevering
 
                             59 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 Accounting and prudential regulation: from uncomfortable bedfellows to perfect partners? Borio, Claudio
2004
1 p. 111-135
25 p.
artikel
2 Aggregate liquidity shortages, idiosyncratic liquidity smoothing and banking regulation Wagner, Wolf
2007
1 p. 18-32
15 p.
artikel
3 Alternatives to blanket guarantees for containing a systemic crisis Kane, Edward J.
2004
1 p. 31-63
33 p.
artikel
4 A model to analyse financial fragility: applications Goodhart, Charles A.E.
2004
1 p. 1-30
30 p.
artikel
5 Are twin currency and debt crises special? Bauer, Christian
2007
1 p. 59-84
26 p.
artikel
6 A simple indicator of systemic risk Patro, Dilip K.
2013
1 p. 105-116
12 p.
artikel
7 Assessing central bank credibility during the ERM crises: Comparing option and spot market-based forecasts Haas, Markus
2006
1 p. 28-54
27 p.
artikel
8 Bank–firm relations and the role of Mutual Guarantee Institutions at the peak of the crisis Bartoli, Francesca
2013
1 p. 90-104
15 p.
artikel
9 Bank lending opportunities and credit standards Güner, A. Burak
2008
1 p. 62-87
26 p.
artikel
10 Bank loan-loss provisioning, central bank rules vs. estimation: The case of Portugal Dermine, J.
2008
1 p. 1-22
22 p.
artikel
11 Bankruptcy laws and debt renegotiation Kolecek, Ludek
2008
1 p. 40-61
22 p.
artikel
12 Contagion in international bond markets during the Russian and the LTCM crises Dungey, Mardi
2006
1 p. 1-27
27 p.
artikel
13 Contagion in the interbank market and its determinants Memmel, Christoph
2013
1 p. 46-54
9 p.
artikel
14 Corporate financial structure and financial stability Davis, E.Philip
2004
1 p. 65-91
27 p.
artikel
15 Cyclical default and recovery in stress testing loan losses Jokivuolle, Esa
2013
1 p. 139-149
11 p.
artikel
16 Cyclical effects of bank capital requirements with imperfect credit markets Agénor, Pierre-Richard
2012
1 p. 43-56
14 p.
artikel
17 Debt restructurings, holdouts, and exit consents Daniels, Kenneth
2007
1 p. 1-17
17 p.
artikel
18 Derivatives and systemic risk: Netting, collateral, and closeout Bliss, Robert R.
2006
1 p. 55-70
16 p.
artikel
19 Destabilizing properties of a VaR or probability-of-ruin constraint when variances may be infinite Eisenberg, Larry
2011
1 p. 10-18
9 p.
artikel
20 Did the introduction of fixed-rate federal deposit insurance increase long-term bank risk-taking? DeLong, Gayle
2011
1 p. 19-25
7 p.
artikel
21 Do weak supervisory systems encourage bank risk-taking? Buch, Claudia M.
2008
1 p. 23-39
17 p.
artikel
22 Editorial Board 2010
1 p. CO2-
1 p.
artikel
23 Editorial Board 2009
1 p. CO2-
1 p.
artikel
24 Editorial Board 2006
1 p. CO2-
1 p.
artikel
25 Editorial Board 2007
1 p. CO2-
1 p.
artikel
26 Editorial Board 2008
1 p. CO2-
1 p.
artikel
27 Editorial Board 2011
1 p. CO2-
1 p.
artikel
28 Editorial Board 2013
1 p. CO2-
1 p.
artikel
29 Editorial Board 2012
1 p. CO2-
1 p.
artikel
30 Escaping TARP Wilson, Linus
2012
1 p. 32-42
11 p.
artikel
31 Executive compensation, risk taking and the state of the economy Raviv, Alon
2013
1 p. 55-68
14 p.
artikel
32 Financial stability, interest-rate smoothing and equilibrium determinacy Di Giorgio, Giorgio
2011
1 p. 1-9
9 p.
artikel
33 Herding behavior in asset markets Hott, Christian
2009
1 p. 35-56
22 p.
artikel
34 Hidden loan losses, moral hazard and financial crises Niinimaki, J.-P.
2012
1 p. 1-14
14 p.
artikel
35 Inside Front Cover - Editorial Board - Bottom Half 2004
1 p. IFC-
1 p.
artikel
36 Macroeconomic shocks and banking supervision Rochet, Jean-Charles
2004
1 p. 93-110
18 p.
artikel
37 Managerial incentives, derivatives and stability John, Kose
2006
1 p. 71-94
24 p.
artikel
38 Monetary policy and financial stability: What role for the futures market? Driffill, John
2006
1 p. 95-112
18 p.
artikel
39 Mutual guarantee institutions and small business finance Columba, Francesco
2010
1 p. 45-54
10 p.
artikel
40 Mutual loan-guarantee societies in monopolistic credit markets with adverse selection Busetta, Giovanni
2012
1 p. 15-24
10 p.
artikel
41 Partial credit guarantees: Principles and practice Honohan, Patrick
2010
1 p. 1-9
9 p.
artikel
42 Phoenix rising: Legal reforms and changes in valuations in Finland during the economic crisis Korkeamäki, Timo
2007
1 p. 33-58
26 p.
artikel
43 Portfolio and financing adjustments for U.S. banks: Some empirical evidence Krainer, Robert
2009
1 p. 1-24
24 p.
artikel
44 Provisioning rules and bank lending: A theoretical model Bouvatier, Vincent
2012
1 p. 25-31
7 p.
artikel
45 Public initiatives to support entrepreneurs: Credit guarantees versus co-funding Arping, Stefan
2010
1 p. 26-35
10 p.
artikel
46 Reflections on the crisis and on its lessons for regulatory reform and for central bank policies Cukierman, Alex
2011
1 p. 26-37
12 p.
artikel
47 Regulations, competition and bank risk-taking in transition countries Agoraki, Maria-Eleni K.
2011
1 p. 38-48
11 p.
artikel
48 Renegotiation and the pricing structure of sovereign bank loans: Empirical evidence Hallak, Issam
2009
1 p. 89-103
15 p.
artikel
49 Role of bank credit on local growth: Do politics and crisis matter? Önder, Zeynep
2013
1 p. 13-25
13 p.
artikel
50 Systemic liquidity shortages and interbank network structures Lee, Seung Hwan
2013
1 p. 1-12
12 p.
artikel
51 Testing for effective market supervision of New Zealand banks McIntyre, M.L.
2009
1 p. 25-34
10 p.
artikel
52 The effect of industry consolidation and deposit insurance reform on the resiliency of the U.S. bank insurance fund Jones, Kenneth D.
2009
1 p. 57-88
32 p.
artikel
53 The fading stock market response to announcements of bank bailouts Fratianni, Michele
2013
1 p. 69-89
21 p.
artikel
54 The impact of wealth on financial mistakes: Evidence from credit card non-payment Scholnick, Barry
2013
1 p. 26-37
12 p.
artikel
55 The role of loan guarantee schemes in alleviating credit rationing in the UK Cowling, Marc
2010
1 p. 36-44
9 p.
artikel
56 The typology of partial credit guarantee funds around the world Beck, Thorsten
2010
1 p. 10-25
16 p.
artikel
57 Time-varying monetary-policy rules and financial stress: Does financial instability matter for monetary policy? Baxa, Jaromír
2013
1 p. 117-138
22 p.
artikel
58 Volume 1: Recap and goals Hasan, Iftekhar
2006
1 p. iii-iv
nvt p.
artikel
59 Wholesale bank funding, capital requirements and credit rationing Agur, Itai
2013
1 p. 38-45
8 p.
artikel
                             59 gevonden resultaten
 
 Koninklijke Bibliotheek - Nationale Bibliotheek van Nederland