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                             28 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 Aggregate default and illiquidity of credit default swap spreads Arakelyan, Armen
2014
2 p. 47-57
11 p.
artikel
2 Analyst consensus in the Eurozone stock markets Cervera, Ignacio
2016
2 p. 66-79
14 p.
artikel
3 A Poisson process with random intensity for modeling financial stability Ilalan, Deniz
2016
2 p. 43-50
8 p.
artikel
4 Assessment of window dressing using fund returns and portfolio holdings Ortiz, Cristina
2013
2 p. 85-93
9 p.
artikel
5 Building good deals with arbitrage-free discrete time pricing models Balbás, Beatriz
2012
2 p. 53-61
9 p.
artikel
6 Causes and resolution of bankruptcy: The efficiency of the law Aguiar-Díaz, Inmaculada
2015
2 p. 71-80
10 p.
artikel
7 Competition and structure of the mutual fund industry in Spain: The role of credit institutions Cambon, M. Isabel
2014
2 p. 58-71
14 p.
artikel
8 Corporate boards in high-tech firms de Andrés, Pablo
2011
2 p. 69-79
11 p.
artikel
9 Corporate governance and executive pay in the Spanish market Fernández Méndez, Carlos
2011
2 p. 55-68
14 p.
artikel
10 Corporate stakeholders and trust Goergen, Marc
2013
2 p. 47-56
10 p.
artikel
11 Determinants of sub-central European government debt Bellot, Nicolas Jannone
2017
2 p. 52-62
11 p.
artikel
12 Do analyst's pre-issue recommendation create value? Empirical evidence from Indian IPO market Sahoo, Seshadev
2014
2 p. 82-95
14 p.
artikel
13 Equity premia predictability in the EuroZone Silva, Nuno
2015
2 p. 48-56
9 p.
artikel
14 Evidence from purchases and redemptions in the Spanish equity fund market Cambón, Mª Isabel
2015
2 p. 57-70
14 p.
artikel
15 Flows impact on pension funds. Evidence from UK conventional and social responsible pension funds Alda, Mercedes
2016
2 p. 57-65
9 p.
artikel
16 From PIN to VPIN: An introduction to order flow toxicity Abad, David
2012
2 p. 74-83
10 p.
artikel
17 Growth opportunities and the effect of corporate diversification on value de Andrés, Pablo
2014
2 p. 72-81
10 p.
artikel
18 Hybrid multiple structural break model for stock price trend prediction Gopal, Sheelapriya
2017
2 p. 41-51
11 p.
artikel
19 Lead-lag patterns in the Spanish and other European equity markets Cambón, Mª Isabel
2017
2 p. 63-77
15 p.
artikel
20 Linear and nonlinear interest rate sensitivity of Spanish banks Ballester, Laura
2011
2 p. 35-48
14 p.
artikel
21 Market discipline in the Latin American banking system: Testing depositor discipline, borrower discipline, and the internal capital market hypothesis Tovar-García, Edgar Demetrio
2017
2 p. 78-90
13 p.
artikel
22 Multiplicity in financial equilibrium with portfolio constrains under the generalized logarithmic utility model Barrachina, Alex
2012
2 p. 41-52
12 p.
artikel
23 Response of Spanish stock market to ECB monetary policy during financial crisis Ruiz, Javier
2015
2 p. 41-47
7 p.
artikel
24 Self-organizing maps as a tool to compare financial macroeconomic imbalances: The European, Spanish and German case López Iturriaga, Félix J.
2013
2 p. 69-84
16 p.
artikel
25 The impact of interbank and public debt markets on the competition for bank deposits Pérez Montes, Carlos
2013
2 p. 57-68
12 p.
artikel
26 The impact of prudential regulation on bank capital and risk-taking: The case of MENA countries Bougatef, Khemaies
2016
2 p. 51-56
6 p.
artikel
27 The interaction of environmental factors and individual traits on investors’ perception Mayoral, Rosa M.
2012
2 p. 62-73
12 p.
artikel
28 The regulatory loss cut-off level: Does it undervalue the operational capital at risk? Jiménez-Rodríguez, Enrique José
2011
2 p. 49-54
6 p.
artikel
                             28 gevonden resultaten
 
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