nr |
titel |
auteur |
tijdschrift |
jaar |
jaarg. |
afl. |
pagina('s) |
type |
1 |
Aggregate Distress Risk and Equity Returns
|
Guo, Hui |
|
|
133 |
C |
p. |
artikel |
2 |
A Practical Guide to harnessing the HAR volatility model
|
Clements, Adam |
|
|
133 |
C |
p. |
artikel |
3 |
A shrinkage approach for Sharpe ratio optimal portfolios with estimation risks
|
Kircher, Felix |
|
|
133 |
C |
p. |
artikel |
4 |
Bank balance sheet risk allocation
|
Júdice, Pedro |
|
|
133 |
C |
p. |
artikel |
5 |
Bank consumer relations and social capital
|
Cornett, Marcia Millon |
|
|
133 |
C |
p. |
artikel |
6 |
Banking sector performance during the COVID-19 crisis
|
Demirgüç-Kunt, Asli |
|
|
133 |
C |
p. |
artikel |
7 |
Bank systemic risk around COVID-19: A cross-country analysis
|
Duan, Yuejiao |
|
|
133 |
C |
p. |
artikel |
8 |
Bank systemic risk exposure and office market interconnectedness
|
Füss, Roland |
|
|
133 |
C |
p. |
artikel |
9 |
China's no-bailout reform: Impact on bond yields and rating standards
|
Mo, Guiqing |
|
|
133 |
C |
p. |
artikel |
10 |
Corporate bond market reactions to quantitative easing during the COVID-19 pandemic
|
Nozawa, Yoshio |
|
|
133 |
C |
p. |
artikel |
11 |
Corporate stress and bank nonperforming loans: Evidence from Pakistan
|
Choudhary, M. Ali |
|
|
133 |
C |
p. |
artikel |
12 |
COVID-19 and lending responses of European banks
|
Özlem Dursun-de Neef, H. |
|
|
133 |
C |
p. |
artikel |
13 |
COVID-19, nonperforming loans, and cross-border bank lending
|
Park, Cyn-Young |
|
|
133 |
C |
p. |
artikel |
14 |
COVID-19, volatility dynamics, and sentiment trading
|
John, Kose |
|
|
133 |
C |
p. |
artikel |
15 |
Delegated asset management and performance when some investors are unsophisticated
|
Malliaris, Steven |
|
|
133 |
C |
p. |
artikel |
16 |
Determinants and predictability of commodity producer returns
|
Wang, Qiao |
|
|
133 |
C |
p. |
artikel |
17 |
Does secrecy signal skill? Own-investor secrecy and hedge fund performance
|
Gorovyy, Sergiy |
|
|
133 |
C |
p. |
artikel |
18 |
Double the insurance, double the funds?
|
Stone, Anna-Leigh |
|
|
133 |
C |
p. |
artikel |
19 |
Downside risk and the cross-section of cryptocurrency returns
|
Zhang, Wei |
|
|
133 |
C |
p. |
artikel |
20 |
Editorial Board
|
|
|
|
133 |
C |
p. |
artikel |
21 |
Executive Equity Risk-Taking Incentives and Firms’ Choice of Debt Structure
|
Chen, Yangyang |
|
|
133 |
C |
p. |
artikel |
22 |
Federal reserve intervention and systemic risk during financial crises
|
Sedunov, John |
|
|
133 |
C |
p. |
artikel |
23 |
Financial Sector Policy Response to COVID-19 in Emerging Markets and Developing Economies
|
Feyen, Erik |
|
|
133 |
C |
p. |
artikel |
24 |
Forecasting VaR and ES using a joint quantile regression and its implications in portfolio allocation
|
Merlo, Luca |
|
|
133 |
C |
p. |
artikel |
25 |
Global syndicated lending during the COVID-19 pandemic
|
Hasan, Iftekhar |
|
|
133 |
C |
p. |
artikel |
26 |
Government intervention and bank markups: Lessons from the global financial crisis for the COVID-19 crisis
|
Tan, Brandon |
|
|
133 |
C |
p. |
artikel |
27 |
Learning sequential option hedging models from market data
|
Nian, Ke |
|
|
133 |
C |
p. |
artikel |
28 |
Liquidity provision during a pandemic
|
Kahn, Charles M. |
|
|
133 |
C |
p. |
artikel |
29 |
Long-run reversal in commodity returns: Insights from seven centuries of evidence
|
Zaremba, Adam |
|
|
133 |
C |
p. |
artikel |
30 |
Macroeconomic news announcements and market efficiency: Evidence from the U.S. Treasury market
|
Lin, Hai |
|
|
133 |
C |
p. |
artikel |
31 |
Market discipline, regulation and banking effectiveness: Do measures matter?
|
Godspower-Akpomiemie, Euphemia |
|
|
133 |
C |
p. |
artikel |
32 |
Market shocks and professionals’ investment behavior – Evidence from the COVID-19 crash
|
Huber, Christoph |
|
|
133 |
C |
p. |
artikel |
33 |
Modeling persistent interest rates with double-autoregressive processes
|
Hansen, Anne Lundgaard |
|
|
133 |
C |
p. |
artikel |
34 |
Model risk and model choice in the case of barrier options and bonus certificates
|
Baule, Rainer |
|
|
133 |
C |
p. |
artikel |
35 |
Monetary easing and the lending concentration channel of monetary policy transmission
|
Antoniades, Adonis |
|
|
133 |
C |
p. |
artikel |
36 |
Negative news and the stock market impact of tone in rating reports
|
Löffler, Gunter |
|
|
133 |
C |
p. |
artikel |
37 |
New construction and mortgage default
|
Mayock, Tom |
|
|
133 |
C |
p. |
artikel |
38 |
Non-recourse mortgage law and housing speculation
|
Nam, Tong-yob |
|
|
133 |
C |
p. |
artikel |
39 |
Overweighting of public information in financial markets: A lesson from the lab
|
Ruiz-Buforn, Alba |
|
|
133 |
C |
p. |
artikel |
40 |
Political connections and seasoned equity offerings
|
Nnadi, Modestus I. |
|
|
133 |
C |
p. |
artikel |
41 |
Public guarantees to SME lending: Do broader eligibility criteria pay off?
|
Lagazio, Corrado |
|
|
133 |
C |
p. |
artikel |
42 |
Regulatory and bailout decisions in a banking union
|
Haufler, Andreas |
|
|
133 |
C |
p. |
artikel |
43 |
Repayment capacity, debt service ratios and mortgage default: An exploration in crisis and non-crisis periods
|
O’Toole, Conor |
|
|
133 |
C |
p. |
artikel |
44 |
Stocks versus bonds for the long run when a riskless asset is available
|
Levy, Haim |
|
|
133 |
C |
p. |
artikel |
45 |
The dynamics of non-performing loans during banking crises: A new database with post-COVID-19 implications
|
Ari, Anil |
|
|
133 |
C |
p. |
artikel |
46 |
The game changer: Regulatory reform and multiple credit ratings
|
Huang, He |
|
|
133 |
C |
p. |
artikel |
47 |
The impact of COVID-19 pandemic on bank lending around the world
|
Ҫolak, Gönül |
|
|
133 |
C |
p. |
artikel |
48 |
The market impact of predictable flows: Evidence from leveraged VIX products
|
Brøgger, Søren Bundgaard |
|
|
133 |
C |
p. |
artikel |
49 |
The real effects of capital requirements and monetary policy: Evidence from the United Kingdom
|
De Marco, Filippo |
|
|
133 |
C |
p. |
artikel |
50 |
The way forward for banks during the COVID-19 crisis and beyond: Government and central bank responses, threats to the global banking industry
|
N Berger, Allen |
|
|
133 |
C |
p. |
artikel |
51 |
This time is really different: The multiplier effect of the Paycheck Protection Program (PPP) on small business bank loans
|
Karakaplan, Mustafa U. |
|
|
133 |
C |
p. |
artikel |
52 |
Time is money: Real effects of relationship lending in a crisis
|
James, Christopher |
|
|
133 |
C |
p. |
artikel |
53 |
Trading behavior of retail investors in derivatives markets: Evidence from Mini options
|
Li, Yubin |
|
|
133 |
C |
p. |
artikel |
54 |
Trust and local bias of individual investors
|
Shao, Ran |
|
|
133 |
C |
p. |
artikel |
55 |
Tuesday Blues and the day-of-the-week effect in stock returns
|
Chiah, Mardy |
|
|
133 |
C |
p. |
artikel |