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                             23 results found
no title author magazine year volume issue page(s) type
1 A comparison of the original and revised Basel market risk frameworks for regulating bank capital Alexander, Gordon J.
2013
85 C p. 249-268
20 p.
article
2 Affecting policy by manipulating prediction markets: Experimental evidence Deck, Cary
2013
85 C p. 48-62
15 p.
article
3 A network model of financial system resilience Anand, Kartik
2013
85 C p. 219-235
17 p.
article
4 Corrigendum to: “Bargaining behavior and the tragedy of the anticommons” [J. Econ. Behav. Organ. 84 (2012) 475–490] Parente, Michael D.
2013
85 C p. 306-
1 p.
article
5 Determinants of trust in banking networks Bülbül, Dilek
2013
85 C p. 236-248
13 p.
article
6 Disadvantageous lies in individual decisions Utikal, Verena
2013
85 C p. 108-111
4 p.
article
7 Does firm heterogeneity affect foreign market entry and exit symmetrically? Empirical evidence for French firms Engel, Dirk
2013
85 C p. 35-47
13 p.
article
8 Explicit versus implicit contracts for dividing the benefits of cooperation Casari, Marco
2013
85 C p. 20-34
15 p.
article
9 Financial sector performance and risk: An introduction Ebrahim, M. Shahid
2013
85 C p. 118-121
4 p.
article
10 Health insurance, treatment plan, and delegation to altruistic physician Liu, Ting
2013
85 C p. 79-96
18 p.
article
11 Incentives and earnings growth Frederiksen, Anders
2013
85 C p. 97-107
11 p.
article
12 Land acquisition: Political intervention, fragmentation and voice Chowdhury, Prabal Roy
2013
85 C p. 63-78
16 p.
article
13 Learning and evolution of altruistic preferences in the Centipede Game Gamba, Astrid
2013
85 C p. 112-117
6 p.
article
14 Liquidity spillovers in sovereign bond and CDS markets: An analysis of the Eurozone sovereign debt crisis Calice, Giovanni
2013
85 C p. 122-143
22 p.
article
15 Mitigating financial fragility with Continuous Workout Mortgages Shiller, Robert J.
2013
85 C p. 269-285
17 p.
article
16 Off-balance-sheet activity under adverse selection: The European experience Duran, Miguel A.
2013
85 C p. 176-190
15 p.
article
17 On the efficiency of the UPREIT organizational form: Implications for the subprime crisis and CDO's Ebrahim, M. Shahid
2013
85 C p. 286-305
20 p.
article
18 Operational and reputational risk in the European banking industry: The market reaction to operational risk events Sturm, Philipp
2013
85 C p. 191-206
16 p.
article
19 Rating agencies’ signals during the European sovereign debt crisis: Market impact and spillovers Alsakka, Rasha
2013
85 C p. 144-162
19 p.
article
20 The O-ring sector and the Foolproof sector: An explanation for skill externalities Jones, Garett
2013
85 C p. 1-10
10 p.
article
21 The role of media in the credit crunch: The case of the banking sector Wisniewski, Tomasz Piotr
2013
85 C p. 163-175
13 p.
article
22 The stability of measured time preferences Krupka, Erin L.
2013
85 C p. 11-19
9 p.
article
23 Towards a program for financial stability Krainer, Robert E.
2013
85 C p. 207-218
12 p.
article
                             23 results found
 
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