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                             139 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 A binomial model of Geithner's toxic asset plan Wilson, Linus
2011
5 p. 349-371
23 p.
artikel
2 A model for exchange rates with crawling bands—an application to the Colombian peso Brooks, Chris
2002
5 p. 483-503
21 p.
artikel
3 A multivariate test of the covariance-co-skewness restriction for the three moment CAPM Lee, Ahyee
1996
5 p. 515-523
9 p.
artikel
4 An examination of the impact of equity carve-outs on stockholder and bondholder wealth Thompson, Thomas H.
2009
5 p. 376-391
16 p.
artikel
5 An RBC model with growth: the role of human capital Einarsson, Tor
1998
5 p. 431-444
14 p.
artikel
6 Are patents strategic barriers to entry? Langinier, Corinne
2004
5 p. 349-361
13 p.
artikel
7 Assessing the effectiveness of the Paulson “teaser freezer” Plan: Evidence from the ABX index Balla, Eliana
2011
5 p. 392-411
20 p.
artikel
8 Asymmetries in risk and in risk attitude: the duopoly case Larue, Bruno
2000
5 p. 435-453
19 p.
artikel
9 A taxonomy of disclosure policies Yaari, Varda
1993
5 p. 361-374
14 p.
artikel
10 Author index 1996
5 p. 527-
1 p.
artikel
11 Bank acquisitions and performance: evidence from a panel of European credit entities Dı́az, Belén Dı́az
2004
5 p. 377-404
28 p.
artikel
12 Bank capital and exposure to the financial crisis Akhigbe, Aigbe
2012
5 p. 377-392
16 p.
artikel
13 Bank management and market discipline Landskroner, Yoram
2008
5 p. 395-414
20 p.
artikel
14 Banks as ‘fat cats’: Branching and price decisions in a two-stage model of competition Coccorese, Paolo
2012
5 p. 338-363
26 p.
artikel
15 Business cycles synchronization and clustering in Europe (1960–2009) Papageorgiou, Theofanis
2010
5 p. 419-470
52 p.
artikel
16 Call For Papers - Journal of Banking and Finance 2004
5 p. III-
1 p.
artikel
17 Call for papers special issue: “Central banking at a crossroads” 1993
5 p. 359-
1 p.
artikel
18 Call for Papers - Special Issue 2007 " Corporate Ownership Structure" 2005
5 p. iii-
1 p.
artikel
19 Capital structure and earnings manipulation Miglo, Anton
2010
5 p. 367-382
16 p.
artikel
20 Causes, consequences and cures of the subprime financial crisis Yeager, Timothy J.
2011
5 p. 345-348
4 p.
artikel
21 CEO incentives and bank risk Acrey, James Cash
2011
5 p. 456-471
16 p.
artikel
22 CEO overconfidence, CEO dominance and corporate acquisitions Brown, Rayna
2007
5 p. 358-379
22 p.
artikel
23 Changes in the informational content of term spreads: Is monetary policy becoming less effective? Gomez-Biscarri, Javier
2008
5 p. 415-435
21 p.
artikel
24 Characteristics of merging firms Sorensen, Donald E
2000
5 p. 423-433
11 p.
artikel
25 Charter value, Tobin's Q and bank risk during the subprime financial crisis Jones, Jeffrey S.
2011
5 p. 372-391
20 p.
artikel
26 Closed-end country funds and the role of exchange rates in pricing and in determination of premiums and discounts Swanson, Peggy E.
2005
5 p. 388-410
23 p.
artikel
27 Comparing vertical restraints Marvel, Howard P.
1996
5 p. 473-486
14 p.
artikel
28 Cost structure of the thrift industry: Effects of acquisition and deregulation Pantalone, Coleen C.
1994
5 p. 337-354
18 p.
artikel
29 Credit risk and the deposit insurance premium: a note Dermine, Jean
2001
5 p. 497-508
12 p.
artikel
30 Cross-dynamics of volatility term structures implied by foreign exchange options Krylova, Elizaveta
2009
5 p. 355-375
21 p.
artikel
31 Debit, credit, or cash: survey evidence on gasoline purchases Carow, Kenneth A
1999
5 p. 409-421
13 p.
artikel
32 Determinants of Federal Reserve lending to failed banks Gilbert, R.Alton
1995
5 p. 397-408
12 p.
artikel
33 Determinants of Japanese corporate pension coverage Horiba, Yutaka
2002
5 p. 537-555
19 p.
artikel
34 Determinants of net new money flows to the equity mutual fund industry Santini, Donald L.
1998
5 p. 419-429
11 p.
artikel
35 Determinants of price flexibility in oligopolistic markets: Evidence from austrian manufacturing Weiss, Christoph R.
1995
5 p. 423-439
17 p.
artikel
36 Differential impact of exchange rate on US trade with two major and two minor trading partners in Africa Ekanem, Nkanta Frank
2002
5 p. 557-571
15 p.
artikel
37 Do macroeconomics news releases affect gold and silver prices? Christie–David, Rohan
2000
5 p. 405-421
17 p.
artikel
38 Dynamic asset pricing and statistical properties of risk González-Rivera, Gloria
1998
5 p. 461-470
10 p.
artikel
39 Econometric estimation of proportional hazard models Koop, Gary
1993
5 p. 421-430
10 p.
artikel
40 Editorial Board 2010
5 p. CO2-
1 p.
artikel
41 Editorial Board 2009
5 p. CO2-
1 p.
artikel
42 Editorial Board 2008
5 p. CO2-
1 p.
artikel
43 Editorial Board 2007
5 p. CO2-
1 p.
artikel
44 Editorial Board 2012
5 p. CO2-
1 p.
artikel
45 Effects of differential information on the after-market valuation of initial public offerings Dark, Frederick H.
1993
5 p. 375-392
18 p.
artikel
46 Employing conditional variance processes to examine the market efficiency of the gold rates of return Marshall, Michael
1994
5 p. 355-365
11 p.
artikel
47 Equilibrium in production and futures markets Hennessy, David A.
1997
5 p. 399-418
20 p.
artikel
48 Evidence on equity private placements and going-out-of-business information release Ferreira, Eurico J.
1999
5 p. 377-394
18 p.
artikel
49 Evidence on real gains in corporate acquisitions Switzer, Jeannette A.
1996
5 p. 443-460
18 p.
artikel
50 Examining legislative challenges to central bank autonomy: macroeconomic and agency costs models Mixon Jr., Franklin G.
2004
5 p. 415-428
14 p.
artikel
51 Exchange rate market efficiency: across and within countries Rapp, Tammy A.
1999
5 p. 423-439
17 p.
artikel
52 Expected stock returns and volatility in a two-regime market Shawky, Hany A.
1995
5 p. 409-421
13 p.
artikel
53 Factors impacting on whether and how businesses respond to early warning signs of financial and economic turmoil: Jamaican firms in the global crisis Tennant, David
2011
5 p. 472-491
20 p.
artikel
54 Forthcoming papers 1996
5 p. 525-
1 p.
artikel
55 Forthcoming Papers 2004
5 p. I-
1 p.
artikel
56 Forthcoming papers 1997
5 p. 511-
1 p.
artikel
57 From home bias to Euro bias: Disentangling the effects of monetary union on the European financial markets Balli, Faruk
2010
5 p. 347-366
20 p.
artikel
58 From the Great Depression to the Great Inflation: Path dependence and monetary policy Siegler, Mark V.
2005
5 p. 375-387
13 p.
artikel
59 Gold and commodity prices as leading indicators of inflation: Tests of long-run relationship and predictive performance Mahdavi, Saeid
1997
5 p. 475-489
15 p.
artikel
60 Gold price risk and the returns on gold mutual funds Blose, Laurence E.
1996
5 p. 499-513
15 p.
artikel
61 Government spending on infrastructure in an endogenous growth model with finite horizons Mourmouras, Iannis A.
1999
5 p. 395-407
13 p.
artikel
62 IFC 2005
5 p. CO2-
1 p.
artikel
63 IFC 2004
5 p. IFC-
1 p.
artikel
64 IFC 2011
5 p. CO2-
1 p.
artikel
65 Implementing monetary base rules: The currency problem Hafer, R.W.
1996
5 p. 461-472
12 p.
artikel
66 Incomplete market participation, endogenous endowment risks and welfare Ohno, Hiroaki
2009
5 p. 392-403
12 p.
artikel
67 Increase in risk and saving behavior Tzeng, Larry Y.
2004
5 p. 405-414
10 p.
artikel
68 Inflation, agency costs, and equity returns Aarstol, Michael
2000
5 p. 387-403
17 p.
artikel
69 Insider trading and stock market perception of bankruptcy Iqbal, Zahid
2002
5 p. 525-535
11 p.
artikel
70 Institutional and individual investor preferences for dividends and share repurchases Jain, Ravi
2007
5 p. 406-429
24 p.
artikel
71 Interest rates and the recent weakness in M2: An extension to the P∗ model of inflation Koenig, Evan F.
1996
5 p. 487-498
12 p.
artikel
72 It happened again: A Minskian analysis of the subprime loan crisis Silipo, Damiano B.
2011
5 p. 441-455
15 p.
artikel
73 Joint dynamics of Brazilian interest rate yields and macro variables under a no-arbitrage restriction Barbedo, Claudio H.S.
2012
5 p. 364-376
13 p.
artikel
74 Large shareholder monitoring and regulation: The Japanese banking experience Kim, Kenneth A.
2007
5 p. 466-486
21 p.
artikel
75 Letter to the readership Kopecky, Kenneth J.
1993
5 p. 357-
1 p.
artikel
76 Letter to the readership Kopecky, Kenneth J.
1994
5 p. 335-
1 p.
artikel
77 Leverage and business groups: Evidence from Indian firms Manos, Ronny
2007
5 p. 443-465
23 p.
artikel
78 Leverage regulation: An agent-based simulation Feldman, Todd
2011
5 p. 431-440
10 p.
artikel
79 Liquidity of the treasury bill market and the term structure of interest rates Shen, Pu
1998
5 p. 401-417
17 p.
artikel
80 Location choice of foreign banks in the United States Goldberg, Lawrence G.
1994
5 p. 367-379
13 p.
artikel
81 Long-run credit growth in the US Durkin, Thomas A.
2010
5 p. 383-400
18 p.
artikel
82 Long-term performance of rival banks around bank failures Cornett, Marcia Millon
2005
5 p. 411-432
22 p.
artikel
83 Looking back at forward-looking monetary policy Perez, Stephen J
2001
5 p. 509-521
13 p.
artikel
84 Macroeconomic price stickiness: Evidence from the postwar United States Dutkowsky, Donald H.
1996
5 p. 427-442
16 p.
artikel
85 Market share instability: an application of unit root tests to the cigarette industry Gallet, Craig A
2001
5 p. 473-480
8 p.
artikel
86 Modeling the time-varying volatility of the paper–bill spread Malik, Farooq
2009
5 p. 404-414
11 p.
artikel
87 Monetary asset quality and substitutability Kishan, Ruby P.
1993
5 p. 393-408
16 p.
artikel
88 On economic incentive for quality upgrading Shyh-Fang Ueng,
1997
5 p. 459-473
15 p.
artikel
89 On human capital externalities and aggregate fluctuations Barañano, Ilaski
2001
5 p. 459-472
14 p.
artikel
90 On the optimal regulation of an extractive industry Semmler, Willi
1994
5 p. 409-420
12 p.
artikel
91 On the term structure of interest rates and inflation in Japan Nagayasu, Jun
2002
5 p. 505-523
19 p.
artikel
92 Organizational design of R&D after mergers and the role of budget responsibility Jost, Peter-J.
2008
5 p. 469-484
16 p.
artikel
93 Ownership structure and corporate decision-making Reeb, David
2007
5 p. 355-357
3 p.
artikel
94 Ownership structure and minority rights: A Latin American view Santiago-Castro, Marisela
2007
5 p. 430-442
13 p.
artikel
95 Ownership structure and operating performance of acquiring firms: The case of English-origin countries Yen, Tze-Yu
2007
5 p. 380-405
26 p.
artikel
96 Playing away to win at home Leahy, Dermot
2008
5 p. 455-468
14 p.
artikel
97 Product-market competition and executive compensation Alexander, Donald L.
1995
5 p. 441-456
16 p.
artikel
98 Rate-of-return regulation and the behavior of the return on equity for electric utilities Nwaeze, Emeka T.
1997
5 p. 491-510
20 p.
artikel
99 R&D intensity and acquisition and divestiture of corporate assets: Evidence from Japan Ushijima, Tatsuo
2009
5 p. 415-433
19 p.
artikel
100 Real aggregate activity and stock returns Du, Ding
2012
5 p. 323-337
15 p.
artikel
101 Return policies and the optimal level of “hassle” Davis, Scott
1998
5 p. 445-460
16 p.
artikel
102 Reviewer January 1995–June 1995 1995
5 p. 497-498
2 p.
artikel
103 Reviewers (1993–1994) 1994
5 p. 429-430
2 p.
artikel
104 Reviewers (1991–1993) 1993
5 p. 431-434
4 p.
artikel
105 Reviewers (December 1, 1995–May 30, 1996) 1996
5 p. 526-
1 p.
artikel
106 Share price reaction to plant-closing announcements Kalra, Rajiv
1994
5 p. 381-395
15 p.
artikel
107 Spatial competition and market power in banking Richards, Timothy J.
2008
5 p. 436-454
19 p.
artikel
108 Special issue: “Credit risk: Measurement, management, pricing, and regulation” 1996
5 p. 425-
1 p.
artikel
109 Special issue: “Money and monetary policy in a changing world” 1997
5 p. 397-
1 p.
artikel
110 Special Issue of Macroeconomics in the Twenty-First Century 2004
5 p. 347-348
2 p.
artikel
111 Stock price reaction to international investment and divestiture and management of currency operating exposure Yong-Cheol Kim,
1997
5 p. 419-437
19 p.
artikel
112 Subscriber return, underpricing, and long-term performance of U.K. privatization initial public offers Menyah, Kojo
1995
5 p. 473-495
23 p.
artikel
113 The contagion effect of default risk insurer downgrades: The impact on insured municipal bonds Brune, Chris
2011
5 p. 492-502
11 p.
artikel
114 The effect of budget deficits on exchange rates: Evidence from five industrialized countries Beck, Stacie E
1994
5 p. 397-408
12 p.
artikel
115 The exchange rate's impact on overseas profits of U.S. multinationals Hung, Juann H.
1997
5 p. 439-458
20 p.
artikel
116 The forecasting abilities of implied and econometric variance–covariance models across financial measures Chong, James
2005
5 p. 463-490
28 p.
artikel
117 The impact of uncertainty about demand growth on preemption Bourreau, Marc
2004
5 p. 363-376
14 p.
artikel
118 The relationship between privatization and DEA estimates of efficiency in the container port industry Cullinane, Kevin
2005
5 p. 433-462
30 p.
artikel
119 The role of exchange and interest risk in equity valuation: A comparative study of international stock markets Prasad, Anita Mehra
1995
5 p. 457-472
16 p.
artikel
120 The role of trade credit in the recent subprime financial crisis Yang, Xiaolou
2011
5 p. 517-529
13 p.
artikel
121 Title index 1996
5 p. 529-
1 p.
artikel
122 Tobin's q and U.S. inflation Faria, João Ricardo
2010
5 p. 401-418
18 p.
artikel
123 To build or buy: an empirical study of the characteristics affecting a bank’s expansion decisions Ruffer, Rochelle L
2001
5 p. 481-495
15 p.
artikel
124 Transmission and production of information in imperfectly competitive financial markets Caballé, Jordi
1993
5 p. 409-419
11 p.
artikel
125 Value at risk using hyperbolic distributions Bauer, Christian
2000
5 p. 455-467
13 p.
artikel
126 Volume 47 author index 1995
5 p. 499-
1 p.
artikel
127 Volume 46 Author index 1994
5 p. 431-
1 p.
artikel
128 Volume 45 author index 1993
5 p. 435-
1 p.
artikel
129 Volume 47 contents 1995
5 p. 503-504
2 p.
artikel
130 Volume contents 1996
5 p. 531-533
3 p.
artikel
131 Volume 46 Contents 1994
5 p. i-ii
nvt p.
artikel
132 Volume 45 contents 1993
5 p. I-II
nvt p.
artikel
133 Volume 45 subject index 1993
5 p. 437-
1 p.
artikel
134 Volume 46 Title index 1994
5 p. 433-
1 p.
artikel
135 Volume 47 title index 1995
5 p. 501-
1 p.
artikel
136 Wage risk and the Lee, Liaw, and Rahman model Peyser, Paul S.
1994
5 p. 421-427
7 p.
artikel
137 Wages, inflation, and mortgage design Nejadmalayeri, Ali
2011
5 p. 503-516
14 p.
artikel
138 Was money demand in the USA unstable before 1982? An application of the sup-F stability test Greene, Clinton A.
2002
5 p. 465-481
17 p.
artikel
139 What explains default risk premium during the financial crisis? Evidence from Japan Naifar, Nader
2011
5 p. 412-430
19 p.
artikel
                             139 gevonden resultaten
 
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