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                             37 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 A model-based index for systemic risk contribution measurement in financial networks Deng, Yang

95 C p. 35-48
artikel
2 A model for calculating optimal credit guarantee fee for small and medium-sized enterprises Taghizadeh-Hesary, Farhad

95 C p. 361-373
artikel
3 Can a new model of infrastructure financing mitigate credit rationing in poorly governed countries? Xu, Jiajun

95 C p. 111-120
artikel
4 Capital flow and banking credit in Indonesia Mara, Mirza Yuniar Isnaeni

95 C p. 298-310
artikel
5 Chief executive officer (CEO)’s rural origin and internal control quality Shen, Huayu

95 C p. 441-452
artikel
6 Conference presentations and academic publishing Gorodnichenko, Yuriy

95 C p. 228-254
artikel
7 Cooperation and spillovers in healthcare R&D: Theory and evidence Faria, João Ricardo

95 C p. 68-75
artikel
8 Default risks, moral hazard and market-based solution: Evidence from renewable energy market in Bangladesh Hossain, Monzur

95 C p. 489-499
artikel
9 Disagreement on sunspots and soybeans futures price Wang, Hanjie

95 C p. 385-393
artikel
10 Disintegration scenarios in the European Union: A case study of Eastern European economies Bolea, Lucía

95 C p. 1-12
artikel
11 Does economic convergence hold? A spatial quantile analysis on European regions Cartone, Alfredo

95 C p. 408-417
artikel
12 Editorial Board
95 C p. ii
artikel
13 Effects of minimum wage on workers’ on-the-job effort and labor market outcomes Zhao, Naibao

95 C p. 453-461
artikel
14 Effects of political promotion on local firms’ social responsibility in China Kong, Dongmin

95 C p. 418-429
artikel
15 Effects of Saudi Arabia’s economic reforms: Insights from a DSGE model Blazquez, Jorge

95 C p. 145-169
artikel
16 Equity premium and monetary policy in a model with limited asset market participation Horvath, Roman

95 C p. 430-440
artikel
17 Further tests of asset pricing models: Liquidity risk matters Ma, Xiuli

95 C p. 255-273
artikel
18 How does inequality affect long-run growth? Cross-industry, cross-country evidence Gutiérrez-Romero, Roxana

95 C p. 274-297
artikel
19 Hysteresis and the welfare costs of recessions Tervala, Juha

95 C p. 136-144
artikel
20 Inefficiency and bank failure: A joint Bayesian estimation method of stochastic frontier and hazards models Sanchez González, Jim

95 C p. 344-360
artikel
21 Institutional change in the global economy: How trade reform can be detrimental to welfare Saad, Ayhab F.

95 C p. 97-110
artikel
22 Intraday momentum and return predictability: Evidence from the crude oil market Wen, Zhuzhu

95 C p. 374-384
artikel
23 Investigating dynamic price co-movements in the international milk market using copulas: The role of trade agreements Rezitis, Anthony N.

95 C p. 215-227
artikel
24 Market-based environmental regulation and total factor productivity: Evidence from Chinese enterprises Peng, Jiaying

95 C p. 394-407
artikel
25 Mixed-frequency SV model for stock volatility and macroeconomics Shang, Yuhuang

95 C p. 462-472
artikel
26 Monetary–fiscal policy regime and macroeconomic dynamics in China Liu, Ding

95 C p. 121-135
artikel
27 New nonlinear estimators of the gravity equation Mnasri, Ayman

95 C p. 192-202
artikel
28 Quantifying sovereign risk in the euro area Singh, Manish K.

95 C p. 76-96
artikel
29 Returns and volume: Frequency connectedness in cryptocurrency markets Fousekis, Panos

95 C p. 13-20
artikel
30 Revisiting the roles of cryptocurrencies in stock markets: A quantile coherency perspective Jiang, Yonghong

95 C p. 21-34
artikel
31 Stock market mispricing and firm innovation based on path analysis Shen, Huayu

95 C p. 330-343
artikel
32 The effects of urban transformation on productivity spillovers in China He, Ming

95 C p. 473-488
artikel
33 The golden hedge: From global financial crisis to global pandemic Burdekin, Richard C.K.

95 C p. 170-180
artikel
34 Time-varying individual effects in a panel data probit model with an application to female labor force participation Xin, Kai

95 C p. 181-191
artikel
35 Trade credit, group affiliation, and credit contraction: Evidence from the 1997 Korean financial crisis Hyun, Junghwan

95 C p. 203-214
artikel
36 Transitions between monetary policy frameworks and their effects on economic performance Cobham, David

95 C p. 311-329
artikel
37 Words and deeds in managing expectations: Empirical evidence from an inflation targeting economy Baranowski, Paweł

95 C p. 49-67
artikel
                             37 gevonden resultaten
 
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