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                             22 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 Are there differences in the effectiveness of quantitative easing at the zero-lower-bound in Japan over time? Michaelis, Henrike
2017
70 C p. 204-233
30 p.
artikel
2 Changing risk exposures of cross-listed firms and market integration Lewis, Karen K.
2017
70 C p. 378-405
28 p.
artikel
3 Competition and financial constraints: A two-sided story Bernini, Michele
2017
70 C p. 88-109
22 p.
artikel
4 Cross-border mergers and acquisitions: The importance of local credit and source country finance Kandilov, Ivan T.
2017
70 C p. 288-318
31 p.
artikel
5 Debt thresholds and real exchange rates: An emerging markets perspective Galstyan, Vahagn
2017
70 C p. 452-470
19 p.
artikel
6 Do financial reforms help stabilize inequality? Christopoulos, Dimitris
2017
70 C p. 45-61
17 p.
artikel
7 Editorial board 2017
70 C p. CO2-
1 p.
artikel
8 Euro area government bonds – Fragmentation and contagion during the sovereign debt crisis Ehrmann, Michael
2017
70 C p. 26-44
19 p.
artikel
9 Explaining exchange rate anomalies in a model with Taylor-rule fundamentals and consistent expectations Lansing, Kevin J.
2017
70 C p. 62-87
26 p.
artikel
10 International capital market frictions and spillovers from quantitative easing MacDonald, Margaux
2017
70 C p. 135-156
22 p.
artikel
11 International spillovers from Euro area and US credit and demand shocks: A focus on emerging Europe Fadejeva, Ludmila
2017
70 C p. 1-25
25 p.
artikel
12 International volatility risk and Chinese stock return predictability Chen, Jian
2017
70 C p. 183-203
21 p.
artikel
13 Joining the club? Procyclicality of private capital inflows in lower income developing economies Araujo, Juliana D.
2017
70 C p. 157-182
26 p.
artikel
14 Oil price shocks, policy uncertainty, and stock returns of oil and gas corporations Kang, Wensheng
2017
70 C p. 344-359
16 p.
artikel
15 Sector heterogeneity and credit market imperfections in emerging markets Varela, Liliana
2017
70 C p. 433-451
19 p.
artikel
16 Sovereign bond market reactions to no-bailout clauses and fiscal rules – The Swiss experience Feld, Lars P.
2017
70 C p. 319-343
25 p.
artikel
17 Sovereign debt risk in emerging market economies: Does inflation targeting adoption make any difference? Balima, Wenéyam Hippolyte
2017
70 C p. 360-377
18 p.
artikel
18 Speculative attacks in a two-peg model López-Suárez, Carlos Felipe
2017
70 C p. 234-256
23 p.
artikel
19 The diffusion of corporate governance to emerging markets: Evaluating two dimensions of investor heterogeneity Kim, Woochan
2017
70 C p. 406-432
27 p.
artikel
20 The effectiveness of conventional and unconventional monetary policy: Evidence from a structural dynamic factor model for Japan Hanisch, Max
2017
70 C p. 110-134
25 p.
artikel
21 Welfare implications when closing small open economy models Özbilgin, Hüseyin Murat
2017
70 C p. 471-493
23 p.
artikel
22 What explains the speed of recovery from banking crises? Ambrosius, Christian
2017
70 C p. 257-287
31 p.
artikel
                             22 gevonden resultaten
 
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