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                             47 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 An analysis of finance journal accessibility: Author inclusivity and journal quality Grossmann, Axel

138 C p.
artikel
2 Banking relationship, information reusability, and acquisition loans Chu, Yongqiang

138 C p.
artikel
3 Bank levy and household risk-aversion Papageorgiou, Stylianos

138 C p.
artikel
4 Bank-specific capital requirements and capital management from 1989-2013: Further evidence from the UK de-Ramon, Sebastian J.A.

138 C p.
artikel
5 Bequest motives in consumption-portfolio decisions with recursive utility Kraft, Holger

138 C p.
artikel
6 Board conduct in banks Agarwal, Samanvaya

138 C p.
artikel
7 Buy low, sell high? Do private equity fund managers have market timing abilities? Jenkinson, Tim

138 C p.
artikel
8 CEO incentives and bank risk over the business cycle Ongena, Steven

138 C p.
artikel
9 Credit derivatives and corporate default prediction Ye, Xiaoxia

138 C p.
artikel
10 Cross-sectional dispersion and bank performance Gkougkousi, Xanthi

138 C p.
artikel
11 Did QE lead banks to relax their lending standards? Evidence from the Federal Reserve’s LSAPs Kurtzman, Robert

138 C p.
artikel
12 Directors’ and officers’ liability insurance: Evidence from independent directors’ voting Li, Tianshi

138 C p.
artikel
13 Does government debt impede firm innovation? Evidence from the rise of LGFVs in China Fan, Jianyong

138 C p.
artikel
14 Dynamic comovement among banks, systemic risk, and the macroeconomy Kapinos, Pavel

138 C p.
artikel
15 Early warning or too late? A (pseudo-)real-time identification of leading indicators of financial stress Duprey, Thibaut

138 C p.
artikel
16 Editorial Board
138 C p.
artikel
17 He who lends knows Jiang, Shuyi

138 C p.
artikel
18 How do macroprudential loan-to-value restrictions impact first time home buyers? A quasi-experimental approach Kinghan, Christina

138 C p.
artikel
19 IFABS 2017: Towards an Integrated View of Financial Regulation: Key Lessons from the Crisis and Future Challenges Berrospide, Jose M.

138 C p.
artikel
20 Informational switching costs, bank competition, and the cost of finance Ornelas, José Renato Haas

138 C p.
artikel
21 Information precision and return co-movements in private commercial real estate markets Füss, Roland

138 C p.
artikel
22 Large dynamic covariance matrices: Enhancements based on intraday data De Nard, Gianluca

138 C p.
artikel
23 Legislative gridlock and stock return dispersion around roll-call votes Cheng, Mengyao

138 C p.
artikel
24 Longs, shorts, and the cross-section of stock returns Nezafat, Mahdi

138 C p.
artikel
25 Market power and bank systemic risk: Role of securitization and bank capital Altunbas, Yener

138 C p.
artikel
26 Modeling and forecasting realized portfolio weights Golosnoy, Vasyl

138 C p.
artikel
27 On the performance of cryptocurrency funds Bianchi, Daniele

138 C p.
artikel
28 OTC Microstructure in a period of stress: A Multi-layered network approach Joseph, Andreas

138 C p.
artikel
29 Penalty interest rates, LTV constraints, and screening laxity in mortgage markets Hong, Jengei

138 C p.
artikel
30 Political corruption, trust, and household stock market participation Bu, Di

138 C p.
artikel
31 Purchases of sovereign debt securities by banks during the crisis: The role of balance sheet conditions Affinito, Massimiliano

138 C p.
artikel
32 Relationship lending and SMEs’ funding costs over the cycle: Why diversification of borrowing matters Beatriz, Mikael

138 C p.
artikel
33 Return on investment on artificial intelligence: The case of bank capital requirement Fraisse, Henri

138 C p.
artikel
34 Risk-based deposit insurance, deposit rates and bank failures: Evidence from Russia Chernykh, Lucy

138 C p.
artikel
35 Risk taking and low longer-term interest rates: Evidence from the U.S. syndicated term loan market Aramonte, Sirio

138 C p.
artikel
36 Risk-taking spillovers of U.S. monetary policy in the global market for U.S. dollar corporate loans Lee, Seung Jung

138 C p.
artikel
37 Short-term reversals, returns to liquidity provision and the costs of immediacy* Ignashkina, Anna

138 C p.
artikel
38 Simulating fire sales in a system of banks and asset managers Calimani, Susanna

138 C p.
artikel
39 The capital gain lock-in effect and seasoned equity offerings Hasan, M. Emrul

138 C p.
artikel
40 The CDS market reaction to loan renegotiation announcements Silaghi, Florina

138 C p.
artikel
41 The conditional impact of investor sentiment in global stock markets: A two-channel examination Wang, Wenzhao

138 C p.
artikel
42 The effect of shareholder-debtholder conflicts on corporate tax aggressiveness: Evidence from dual holders Francis, Bill

138 C p.
artikel
43 The impact of bank regulation on firms’ capital structure: Evidence from multinationals Avezum, Lucas

138 C p.
artikel
44 The risk-shifting value of payout: Evidence from bank enforcement actions Pugachev, Leonid

138 C p.
artikel
45 The role of shadow banking in systemic risk in the European financial system Bellavite Pellegrini, Carlo

138 C p.
artikel
46 What can we learn from firm-level jump-induced tail risk around earnings announcements? Liu, Mengxi (Maggie)

138 C p.
artikel
47 What drives the dispersion anomaly? Min, Byoung-Kyu

138 C p.
artikel
                             47 gevonden resultaten
 
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