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                             26 results found
no title author magazine year volume issue page(s) type
1 A public good approach to credit ratings – From concept to reality Duan, Jin-Chuan
2012
36 12 p. 3239-3247
9 p.
article
2 Banking risk and regulation: Does one size fit all? Klomp, Jeroen
2012
36 12 p. 3197-3212
16 p.
article
3 Best-performing US mutual fund families from 1993 to 2008: Evidence from a novel two-stage DEA model for efficiency decomposition Premachandra, I.M.
2012
36 12 p. 3302-3317
16 p.
article
4 CEO compensation, family control, and institutional investors in Continental Europe Croci, Ettore
2012
36 12 p. 3318-3335
18 p.
article
5 Classified boards, the cost of debt, and firm performance Chen, Dong
2012
36 12 p. 3346-3365
20 p.
article
6 Credit risk transfer in U.S. commercial banks: What changed during the 2007–2009 crisis? Bedendo, Mascia
2012
36 12 p. 3260-3273
14 p.
article
7 Credit spread interdependencies of European states and banks during the financial crisis Alter, Adrian
2012
36 12 p. 3444-3468
25 p.
article
8 Do interbank customer relationships exist? And how did they function in the crisis? Learning from Italy Affinito, Massimiliano
2012
36 12 p. 3163-3184
22 p.
article
9 Downside risk aversion, fixed-income exposure, and the value premium puzzle Baltussen, Guido
2012
36 12 p. 3382-3398
17 p.
article
10 Editorial Board 2012
36 12 p. IFC-
1 p.
article
11 Financial literacy, information flows, and caste affiliation: Empirical evidence from India Bönte, Werner
2012
36 12 p. 3399-3414
16 p.
article
12 Firm growth type and capital structure persistence Wu, Xueping
2012
36 12 p. 3427-3443
17 p.
article
13 Going overboard? On busy directors and firm value Cashman, George D.
2012
36 12 p. 3248-3259
12 p.
article
14 High-frequency financial data modeling using Hawkes processes Chavez-Demoulin, V.
2012
36 12 p. 3415-3426
12 p.
article
15 Liquidity risk and stock returns around the world Liang, Samuel Xin
2012
36 12 p. 3274-3288
15 p.
article
16 Market concentration and the likelihood of financial crises Bretschger, Lucas
2012
36 12 p. 3336-3345
10 p.
article
17 Market-specific and currency-specific risk during the global financial crisis: Evidence from the interbank markets in Tokyo and London Fukuda, Shin-ichi
2012
36 12 p. 3185-3196
12 p.
article
18 Risk management, corporate governance, and bank performance in the financial crisis Aebi, Vincent
2012
36 12 p. 3213-3226
14 p.
article
19 Short-horizon regulation for long-term investors Shi, Zhen
2012
36 12 p. 3227-3238
12 p.
article
20 Short-term wholesale funding and systemic risk: A global CoVaR approach López-Espinosa, Germán
2012
36 12 p. 3150-3162
13 p.
article
21 Stock salience and the asymmetric market effect of consumer sentiment news Akhtar, Shumi
2012
36 12 p. 3289-3301
13 p.
article
22 Stress testing credit risk: The Great Depression scenario Varotto, Simone
2012
36 12 p. 3133-3149
17 p.
article
23 Systemic risk, Basel III, global financial stability and regulation Arnold, Bruce R.
2012
36 12 p. 3123-3124
2 p.
article
24 Systemic risk, macroprudential policy frameworks, monitoring financial systems and the evolution of capital adequacy Arnold, Bruce
2012
36 12 p. 3125-3132
8 p.
article
25 The relationship between banking market competition and risk-taking: Do size and capitalization matter? Tabak, Benjamin M.
2012
36 12 p. 3366-3381
16 p.
article
26 Why do firms issue private equity repeatedly? On the motives and information content of multiple PIPE offerings Floros, Ioannis V.
2012
36 12 p. 3469-3481
13 p.
article
                             26 results found
 
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