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                             66 results found
no title author magazine year volume issue page(s) type
1 A comprehensive long-term analysis of S&P 500 index additions and deletions Chan, Kalok
2013
37 12 p. 4920-4930
11 p.
article
2 A general closed-form spread option pricing formula Caldana, Ruggero
2013
37 12 p. 4893-4906
14 p.
article
3 Analyzing determinants of bond yield spreads with Bayesian Model Averaging Maltritz, Dominik
2013
37 12 p. 5275-5284
10 p.
article
4 Are stock market crises contagious? The role of crisis definitions Mierau, Jochen O.
2013
37 12 p. 4765-4776
12 p.
article
5 A spatial analysis of international stock market linkages Asgharian, Hossein
2013
37 12 p. 4738-4754
17 p.
article
6 Asset sales in the mutual fund industry: Who gains? Chen, Fan
2013
37 12 p. 4834-4849
16 p.
article
7 Bank ownership and lending patterns during the 2008–2009 financial crisis: Evidence from Latin America and Eastern Europe Cull, Robert
2013
37 12 p. 4861-4878
18 p.
article
8 Bank/sovereign risk spillovers in the European debt crisis De Bruyckere, Valerie
2013
37 12 p. 4793-4809
17 p.
article
9 Commodity and equity markets: Some stylized facts from a copula approach Delatte, Anne-Laure
2013
37 12 p. 5346-5356
11 p.
article
10 Competition, signaling and non-walking through the book: Effects on order choice Valenzuela, Marcela
2013
37 12 p. 5421-5435
15 p.
article
11 Conditional Value-at-Risk, spectral risk measures and (non-)diversification in portfolio selection problems – A comparison with mean–variance analysis Brandtner, Mario
2013
37 12 p. 5526-5537
12 p.
article
12 Corporate leverage and the collateral channel Norden, Lars
2013
37 12 p. 5062-5072
11 p.
article
13 Credit and liquidity components of corporate CDS spreads Corò, Filippo
2013
37 12 p. 5511-5525
15 p.
article
14 Cross-country effects of regulatory capital arbitrage Milcheva, Stanimira
2013
37 12 p. 5329-5345
17 p.
article
15 Cross-selling, switching costs and imperfect competition in British banks Zhao, Tianshu
2013
37 12 p. 5452-5462
11 p.
article
16 Did capital infusions enhance bank recovery from the great recession? Liu, Wei
2013
37 12 p. 5048-5061
14 p.
article
17 Does deregulation induce competition in the market for corporate control? The special case of banking Ghosh, Chinmoy
2013
37 12 p. 5220-5235
16 p.
article
18 Do newspaper articles on card fraud affect debit card usage? Kosse, Anneke
2013
37 12 p. 5382-5391
10 p.
article
19 Economic valuation of liquidity timing Karstanje, Dennis
2013
37 12 p. 5073-5087
15 p.
article
20 Editorial Board 2013
37 12 p. IFC-
1 p.
article
21 Erratum to: “A stochastic frontier approach to modelling financial constraints in firms: An application to India” [J. Bank. Finance 36 (2012) 1311–1319] Bhaumik, Sumon Kumar
2013
37 12 p. 5159-
1 p.
article
22 Financial supervision regimes and bank efficiency: International evidence Gaganis, Chrysovalantis
2013
37 12 p. 5463-5475
13 p.
article
23 Forecasting EUR–USD implied volatility: The case of intraday data Dunis, Christian
2013
37 12 p. 4943-4957
15 p.
article
24 Front-running of mutual fund fire-sales Dyakov, Teodor
2013
37 12 p. 4931-4942
12 p.
article
25 Global imbalances and the intertemporal external budget constraint: A multicointegration approach Camarero, Mariam
2013
37 12 p. 5357-5372
16 p.
article
26 How do sovereign credit rating changes affect private investment? Chen, Sheng-Syan
2013
37 12 p. 4820-4833
14 p.
article
27 Information disclosure, CEO overconfidence, and share buyback completion rates Andriosopoulos, Dimitris
2013
37 12 p. 5486-5499
14 p.
article
28 Institutional quality thresholds and the finance – Growth nexus Law, Siong Hook
2013
37 12 p. 5373-5381
9 p.
article
29 Intertemporal efficiency analysis of sales teams of a bank: Stochastic semi-nonparametric approach Eskelinen, Juha
2013
37 12 p. 5163-5175
13 p.
article
30 IPO underwriting and subsequent lending Chen, Hsuan-Chi
2013
37 12 p. 5208-5219
12 p.
article
31 Is M&A different during a crisis? Evidence from the European banking sector Beltratti, Andrea
2013
37 12 p. 5394-5405
12 p.
article
32 Limiting losses may be injurious to your wealth Grauer, Robert R.
2013
37 12 p. 5088-5100
13 p.
article
33 Liquidation equilibrium with seniority and hidden CDO Gourieroux, C.
2013
37 12 p. 5261-5274
14 p.
article
34 Liquidity and initial public offering underpricing Hahn, TeWhan
2013
37 12 p. 4973-4988
16 p.
article
35 Loan collateral and financial reporting conservatism: Chinese evidence Chen, Jeff Zeyun
2013
37 12 p. 4989-5006
18 p.
article
36 Long-term bank balance sheet management: Estimation and simulation of risk-factors Birge, John R.
2013
37 12 p. 4711-4720
10 p.
article
37 Market capitalization and Value-at-Risk Dias, Alexandra
2013
37 12 p. 5248-5260
13 p.
article
38 Market discipline during crisis: Evidence from bank depositors in transition countries Hasan, Iftekhar
2013
37 12 p. 5436-5451
16 p.
article
39 Moment-based estimation of stochastic volatility Bregantini, Daniele
2013
37 12 p. 4755-4764
10 p.
article
40 Nonlinear dynamics in discretionary accruals: An analysis of bank loan-loss provisions Balboa, Marina
2013
37 12 p. 5186-5207
22 p.
article
41 Non-marketability and the value of employee stock options Abudy, Menachem
2013
37 12 p. 5500-5510
11 p.
article
42 On the importance of indirect banking vulnerabilities in the Eurozone Bicu, Andreea
2013
37 12 p. 5007-5024
18 p.
article
43 On the predictability of stock prices: A case for high and low prices Caporin, Massimiliano
2013
37 12 p. 5132-5146
15 p.
article
44 Pricing deviation, misvaluation comovement, and macroeconomic conditions Chang, Eric C.
2013
37 12 p. 5285-5299
15 p.
article
45 Product differentiation and efficiencies in the retail banking industry Dai, Mian
2013
37 12 p. 4907-4919
13 p.
article
46 Product market competition and the cost of bank loans: Evidence from state antitakeover laws Waisman, Maya
2013
37 12 p. 4721-4737
17 p.
article
47 Ratings based capital adequacy for securitizations Lützenkirchen, Kristina
2013
37 12 p. 5236-5247
12 p.
article
48 Recent developments in financial markets and banking Andriosopoulos, Kostas
2013
37 12 p. 5392-5393
2 p.
article
49 Rethinking banking and finance: Money, markets and models Duygun, Meryem
2013
37 12 p. 5160-5162
3 p.
article
50 Return decomposition and the Intertemporal CAPM Maio, Paulo
2013
37 12 p. 4958-4972
15 p.
article
51 Robust portfolio choice with uncertainty about jump and diffusion risk Branger, Nicole
2013
37 12 p. 5036-5047
12 p.
article
52 Schumpeterian competition and efficiency among commercial banks Duygun, Meryem
2013
37 12 p. 5176-5185
10 p.
article
53 SME financing and the choice of lending technology in Italy: Complementarity or substitutability? Bartoli, Francesca
2013
37 12 p. 5476-5485
10 p.
article
54 Speculations in option markets enhance allocation efficiency with heterogeneous beliefs and learning Qin, Zhenjiang
2013
37 12 p. 4675-4694
20 p.
article
55 Supervisors as information producers: Do stress tests reduce bank opaqueness? Petrella, Giovanni
2013
37 12 p. 5406-5420
15 p.
article
56 TARP funds distribution and bank loan supply Li, Lei
2013
37 12 p. 4777-4792
16 p.
article
57 The Federal Reserve’s balance sheet and overnight interest rates: Empirical modeling of exit strategies Marquez, Jaime
2013
37 12 p. 5300-5315
16 p.
article
58 The impact of diverse measures of default risk on UK stock returns Chen, Jie
2013
37 12 p. 5118-5131
14 p.
article
59 The information content of Eonia swap rates before and during the financial crisis Hernandis, Lucía
2013
37 12 p. 5316-5328
13 p.
article
60 The intraday impact of company responses to exchange queries Drienko, Jozef
2013
37 12 p. 4810-4819
10 p.
article
61 Unintended consequences of the increased asset threshold for FDICIA internal controls: Evidence from U.S. private banks Jin, Justin Yiqiang
2013
37 12 p. 4879-4892
14 p.
article
62 Valuation of insurers’ contingent capital with counterparty risk and price endogeneity Lo, Chien-Ling
2013
37 12 p. 5025-5035
11 p.
article
63 Venture capital and new business creation Popov, Alexander
2013
37 12 p. 4695-4710
16 p.
article
64 Wall Street’s bailout bet: Market reactions to house price releases in the presence of bailout expectations Löffler, Gunter
2013
37 12 p. 5147-5158
12 p.
article
65 Who gets credit after bankruptcy and why? An information channel Cohen-Cole, Ethan
2013
37 12 p. 5101-5117
17 p.
article
66 Why do companies delist voluntarily from the stock market? Kashefi Pour, Eilnaz
2013
37 12 p. 4850-4860
11 p.
article
                             66 results found
 
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