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                             22 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 A compound option approach to model the interrelation between banking crises and country defaults: The case of Hungary 2008 Maltritz, Dominik
2010
34 12 p. 3025-3036
12 p.
artikel
2 An analysis of portfolio selection with background risk Jiang, Chonghui
2010
34 12 p. 3055-3060
6 p.
artikel
3 Assessing financial market integration in Asia – Equity markets Yu, Ip-Wing
2010
34 12 p. 2874-2885
12 p.
artikel
4 Behavior of liquidity and returns around Canadian seasoned equity offerings Kryzanowski, Lawrence
2010
34 12 p. 2954-2967
14 p.
artikel
5 Does gender matter in bank–firm relationships? Evidence from small business lending Bellucci, Andrea
2010
34 12 p. 2968-2984
17 p.
artikel
6 Does the difference in valuation between domestic and foreign investors help explain their distinct holdings of domestic stocks? Kang, Hyung Cheol
2010
34 12 p. 2886-2896
11 p.
artikel
7 Editorial Board 2010
34 12 p. IFC-
1 p.
artikel
8 EMU and European government bond market integration Abad, Pilar
2010
34 12 p. 2851-2860
10 p.
artikel
9 Integrated models of capital adequacy – Why banks are undercapitalised Kretzschmar, Gavin
2010
34 12 p. 2838-2850
13 p.
artikel
10 International financial integration Lucey, Brian M.
2010
34 12 p. 2837-
1 p.
artikel
11 Loan growth and riskiness of banks Foos, Daniel
2010
34 12 p. 2929-2940
12 p.
artikel
12 Multi-country event-study methods Campbell, Cynthia J.
2010
34 12 p. 3078-3090
13 p.
artikel
13 Probability of information-based trading and the January effect Kang, Moonsoo
2010
34 12 p. 2985-2994
10 p.
artikel
14 Securitization and systematic risk in European banking: Empirical evidence Uhde, André
2010
34 12 p. 3061-3077
17 p.
artikel
15 The economic function of credit rating agencies – What does the watchlist tell us? Bannier, Christina E.
2010
34 12 p. 3037-3049
13 p.
artikel
16 The effect of bank ownership and deposit insurance on monetary policy transmission Andries, Natalia
2010
34 12 p. 3050-3054
5 p.
artikel
17 The impact of conglomeration on the option value of equity Grass, Gunnar
2010
34 12 p. 3010-3024
15 p.
artikel
18 The reaction of emerging market credit default swap spreads to sovereign credit rating changes Ismailescu, Iuliana
2010
34 12 p. 2861-2873
13 p.
artikel
19 Timing exchange rates using order flow: The case of the Loonie King, Michael
2010
34 12 p. 2917-2928
12 p.
artikel
20 Trading activity and bid–ask spreads of individual equity options Wei, Jason
2010
34 12 p. 2897-2916
20 p.
artikel
21 Understanding partial mergers in Japan Ushijima, Tatsuo
2010
34 12 p. 2941-2953
13 p.
artikel
22 Using the credit spread as an option-risk factor: Size and value effects in CAPM Hwang, Young-Soon
2010
34 12 p. 2995-3009
15 p.
artikel
                             22 gevonden resultaten
 
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