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                             30 results found
no title author magazine year volume issue page(s) type
1 Analysis of banks’ systemic risk contribution and contagion determinants through the leave-one-out approach Zedda, Stefano

112 C p.
article
2 Are banking shocks contagious? Evidence from the eurozone Dungey, Mardi

112 C p.
article
3 Bank credit rates across the business cycle: Evidence from a French cooperative contracts database Dereeper, Sébastien

112 C p.
article
4 Bank loyalty, social networks and crisis Atmaca, Sümeyra

112 C p.
article
5 Borrower distress and the efficiency of relationship banking Donker, Han

112 C p.
article
6 Centralized netting in financial networks Garratt, Rodney

112 C p.
article
7 Challenges to global financial stability: Interconnections, credit risk, business cycle and the role of market participants Duygun, Meryem

112 C p.
article
8 Debt maturity and the cost of bank loans Wang, Chih-Wei

112 C p.
article
9 Determinants of household broker choices and their impacts on performance Fong, Kingsley

112 C p.
article
10 Does corporate social responsibility create shareholder value? The importance of long-term investors Nguyen, Phuong-Anh

112 C p.
article
11 Editorial Board
112 C p.
article
12 Gender gap in peer-to-peer lending: Evidence from China Chen, Xiao

112 C p.
article
13 Generalists and specialists in the credit market Fricke, Daniel

112 C p.
article
14 Government support of banks and bank lending Bassett, William

112 C p.
article
15 Government support, regulation, and risk taking in the banking sector Brandao-Marques, Luis

112 C p.
article
16 Home, safe home: Cross-country monitoring framework for vulnerabilities in the residential real estate sector Bengtsson, Elias

112 C p.
article
17 Interbank contagion: An agent-based model approach to endogenously formed networks Liu, Anqi

112 C p.
article
18 Is full banking integration desirable? Arribas, Iván

112 C p.
article
19 Macroeconomic effects and frailties in the resolution of non-performing loans Betz, Jennifer

112 C p.
article
20 Macroeconomic impact of Basel III: Evidence from a meta-analysis Fidrmuc, Jarko

112 C p.
article
21 March madness in Wall Street: (What) does the market learn from stress tests? Fernandes, Marcelo

112 C p.
article
22 Market risk-based capital requirements, trading activity, and bank risk Holod, Dmytro

112 C p.
article
23 Return comovement Parsley, David

112 C p.
article
24 Sectoral risk-weights and macroprudential policy Hodbod, Alexander

112 C p.
article
25 Stock extreme illiquidity and the cost of capital Belkhir, Mohamed

112 C p.
article
26 The anatomy of financial vulnerabilities and banking crises Lee, Seung Jung

112 C p.
article
27 The interconnected nature of financial systems: Direct and common exposures Giudici, P.

112 C p.
article
28 The other (commercial) real estate boom and bust: The effects of risk premia and regulatory capital arbitrage Duca, John V.

112 C p.
article
29 The surface of implied firm’s asset volatility Lovreta, Lidija

112 C p.
article
30 Too big to ignore? Hedge fund flows and bond yields Kolokolova, Olga

112 C p.
article
                             30 results found
 
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