nr |
titel |
auteur |
tijdschrift |
jaar |
jaarg. |
afl. |
pagina('s) |
type |
1 |
Adjusted Expected Shortfall
|
Burzoni, Matteo |
|
|
134 |
C |
p. |
artikel |
2 |
A geometric framework for covariance dynamics
|
Han, Chulwoo |
|
|
134 |
C |
p. |
artikel |
3 |
Bank complexity, governance, and risk
|
Correa, Ricardo |
|
|
134 |
C |
p. |
artikel |
4 |
Bank instability: Interbank linkages and the role of disclosure
|
König-Kersting, Christian |
|
|
134 |
C |
p. |
artikel |
5 |
Banks’ complexity-risk nexus and the role of regulation
|
Martynova, Natalya |
|
|
134 |
C |
p. |
artikel |
6 |
Bank solvency risk and funding cost interactions: Evidence from Korea
|
Aldasoro, Iñaki |
|
|
134 |
C |
p. |
artikel |
7 |
Complexity and riskiness of banking organizations: Evidence from the International Banking Research Network
|
Buch, Claudia M. |
|
|
134 |
C |
p. |
artikel |
8 |
Complexity of global banks and the implications for bank risk: Evidence from foreign banks in Hong Kong
|
Ho, Kelvin |
|
|
134 |
C |
p. |
artikel |
9 |
Concept links and return momentum
|
Du, Qianqian |
|
|
134 |
C |
p. |
artikel |
10 |
Corporate social responsibility and market efficiency: Evidence from ESG and misvaluation measures
|
Bofinger, Yannik |
|
|
134 |
C |
p. |
artikel |
11 |
Dissecting the yield curve: The international evidence
|
Berardi, Andrea |
|
|
134 |
C |
p. |
artikel |
12 |
Does quantitative easing affect market liquidity?
|
Christensen, Jens H.E. |
|
|
134 |
C |
p. |
artikel |
13 |
Does the geographical complexity of the Colombian financial conglomerates increase banks’ risk? The role of diversification, regulatory arbitrage, and funding costs
|
Cardozo, Pamela |
|
|
134 |
C |
p. |
artikel |
14 |
Editorial Board
|
|
|
|
134 |
C |
p. |
artikel |
15 |
Executives’ Blaming external factors and market reactions: Evidence from earnings conference calls
|
Noh, Joonki |
|
|
134 |
C |
p. |
artikel |
16 |
Expectations, credit conditions, and housing boom-bust: Evidence from SVAR with sign and zero restrictions
|
Ma, Xutao |
|
|
134 |
C |
p. |
artikel |
17 |
Hedge fund family ties
|
Spilker III, Harold D. |
|
|
134 |
C |
p. |
artikel |
18 |
History matters: How short-term price charts hurt investment performance
|
Borsboom, Charlotte |
|
|
134 |
C |
p. |
artikel |
19 |
Housing networks and driving forces
|
Hurn, Stan |
|
|
134 |
C |
p. |
artikel |
20 |
How do investors trade R&D-intensive Stocks? Evidence from hedge funds and other institutional investors
|
Alldredge, Dallin M. |
|
|
134 |
C |
p. |
artikel |
21 |
Information asymmetry and the profitability of technical analysis
|
Hung, Chiayu |
|
|
134 |
C |
p. |
artikel |
22 |
Information networks in the financial sector and systemic risk
|
Borochin, Paul |
|
|
134 |
C |
p. |
artikel |
23 |
Institutional investors’ horizon and equity-financed payouts
|
He, Wen |
|
|
134 |
C |
p. |
artikel |
24 |
Integration culture of global banks and the transmission of lending shocks
|
Barth, Andreas |
|
|
134 |
C |
p. |
artikel |
25 |
Knowledge spillovers in the mutual fund industry through labor mobility
|
Cici, Gjergji |
|
|
134 |
C |
p. |
artikel |
26 |
Management practices and M&A success
|
Delis, Manthos D. |
|
|
134 |
C |
p. |
artikel |
27 |
Mapping exposures of EU banks to the global shadow banking system
|
Abad, Jorge |
|
|
134 |
C |
p. |
artikel |
28 |
Market-consistent valuation of natural catastrophe risk
|
Beer, Simone |
|
|
134 |
C |
p. |
artikel |
29 |
Market fairness and efficiency: Evidence from the Tokyo Stock Exchange
|
Kemme, David M. |
|
|
134 |
C |
p. |
artikel |
30 |
Mutual fund tax implications when investment advisors manage tax-exempt separate accounts
|
Beggs, William |
|
|
134 |
C |
p. |
artikel |
31 |
Negative externalities of mutual fund instability: Evidence from leveraged loan funds
|
Mählmann, Thomas |
|
|
134 |
C |
p. |
artikel |
32 |
Opacity and risk-taking: Evidence from Norway
|
Cao, Jin |
|
|
134 |
C |
p. |
artikel |
33 |
Opening the black box – Quantile neural networks for loss given default prediction
|
Kellner, Ralf |
|
|
134 |
C |
p. |
artikel |
34 |
Post-crisis regulations, market making, and liquidity in over-the-counter markets
|
Wang, Xinjie |
|
|
134 |
C |
p. |
artikel |
35 |
Predicting the stressed expected loss of large U.S. banks
|
Jondeau, Eric |
|
|
134 |
C |
p. |
artikel |
36 |
Risk and control in complex banking groups
|
Argimón, Isabel |
|
|
134 |
C |
p. |
artikel |
37 |
Sensitivity-implied tail-correlation matrices
|
Paulusch, Joachim |
|
|
134 |
C |
p. |
artikel |
38 |
Stabilising virtues of central banks: (Re)matching bank liquidity
|
Legroux, Vincent |
|
|
134 |
C |
p. |
artikel |
39 |
Systemic risk and severe economic downturns: A targeted and sparse analysis
|
Caporin, Massimiliano |
|
|
134 |
C |
p. |
artikel |
40 |
The effects of mutual fund decarbonization on stock prices and carbon emissions
|
Rohleder, Martin |
|
|
134 |
C |
p. |
artikel |
41 |
The exclamation mark of Cain: Risk salience and mutual fund flows
|
Mugerman, Yevgeny |
|
|
134 |
C |
p. |
artikel |
42 |
The illusion of oil return predictability: The choice of data matters!
|
Conlon, Thomas |
|
|
134 |
C |
p. |
artikel |
43 |
The Janus face of bank geographic complexity
|
Aldasoro, Iñaki |
|
|
134 |
C |
p. |
artikel |
44 |
The multiple dimensions of bank complexity: Effects on credit risk-taking
|
Marinelli, Giuseppe |
|
|
134 |
C |
p. |
artikel |
45 |
The role of intrinsic incentives and corporate culture in motivating innovation
|
Byun, Seong |
|
|
134 |
C |
p. |
artikel |