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                             36 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 A leverage ratio rule for capital adequacy Jarrow, Robert
2013
37 3 p. 973-976
4 p.
artikel
2 Are banks too big to fail or too big to save? International evidence from equity prices and CDS spreads Demirgüç-Kunt, Asli
2013
37 3 p. 875-894
20 p.
artikel
3 Bank capital buffer and portfolio risk: The influence of business cycle and revenue diversification Shim, Jeungbo
2013
37 3 p. 761-772
12 p.
artikel
4 Bank stability and managerial compensation Bai, Gang
2013
37 3 p. 799-813
15 p.
artikel
5 Can position limits restrain ‘rogue’ trading? ap Gwilym, Rhys
2013
37 3 p. 824-836
13 p.
artikel
6 Capital inflows and asset prices: Evidence from emerging Asia Tillmann, Peter
2013
37 3 p. 717-729
13 p.
artikel
7 Choosing how to pay: The influence of foreign backgrounds Kosse, Anneke
2013
37 3 p. 989-998
10 p.
artikel
8 CVaR sensitivity with respect to tail thickness Stoyanov, Stoyan V.
2013
37 3 p. 977-988
12 p.
artikel
9 Editorial Board 2013
37 3 p. IFC-
1 p.
artikel
10 Erratum to: “Credit spread interdependencies of European states and banks during the financial crisis” Journal of Banking & Finance 36 (2012) 3444–3468 Alter, Adrian
2013
37 3 p. 1118-
1 p.
artikel
11 Estimating non-linear serial and cross-interdependence between financial assets Righi, Marcelo Brutti
2013
37 3 p. 837-846
10 p.
artikel
12 Explaining share price disparity with parameter uncertainty: Evidence from Chinese A- and H-shares Chung, Tsz-Kin
2013
37 3 p. 1073-1083
11 p.
artikel
13 Forecasting the size premium over different time horizons Zakamulin, Valeriy
2013
37 3 p. 1061-1072
12 p.
artikel
14 Foreign currency borrowing by small firms in emerging markets: When domestic banks intermediate dollars Mora, Nada
2013
37 3 p. 1093-1107
15 p.
artikel
15 Hedge fund liquidity and performance: Evidence from the financial crisis Schaub, Nic
2013
37 3 p. 671-692
22 p.
artikel
16 Inference in asset pricing models with a low-variance factor Shang, Hua
2013
37 3 p. 1046-1060
15 p.
artikel
17 Internal capital markets and the partial adjustment of leverage Fier, Stephen G.
2013
37 3 p. 1029-1039
11 p.
artikel
18 Investor protection and cash holdings: Evidence from US cross-listing Huang, Ying
2013
37 3 p. 937-951
15 p.
artikel
19 Loan managers’ trust and credit access for SMEs Moro, Andrea
2013
37 3 p. 927-936
10 p.
artikel
20 Management quality and the cost of debt: Does management matter to lenders? Rahaman, Mohammad M.
2013
37 3 p. 854-874
21 p.
artikel
21 Multinational banking and the international transmission of financial shocks: Evidence from foreign bank subsidiaries Jeon, Bang Nam
2013
37 3 p. 952-972
21 p.
artikel
22 On the role of the estimation error in prediction of expected shortfall Lönnbark, Carl
2013
37 3 p. 847-853
7 p.
artikel
23 Pricing securities with multiple risks: A case of exchangeable debt Mateti, Ravi S.
2013
37 3 p. 1018-1028
11 p.
artikel
24 Real exchange rate adjustment in European transition countries Maican, Florin G.
2013
37 3 p. 907-926
20 p.
artikel
25 Reject inference in consumer credit scoring with nonignorable missing data Bücker, Michael
2013
37 3 p. 1040-1045
6 p.
artikel
26 Stock return volatility, operating performance and stock returns: International evidence on drivers of the ‘low volatility’ anomaly Dutt, Tanuj
2013
37 3 p. 999-1017
19 p.
artikel
27 Strategic loan defaults and coordination: An experimental analysis Trautmann, Stefan T.
2013
37 3 p. 747-760
14 p.
artikel
28 Systemic risk and diversification across European banks and insurers Slijkerman, Jan Frederik
2013
37 3 p. 773-785
13 p.
artikel
29 The expectations hypothesis: New hope or illusory support? Jitmaneeroj, Boonlert
2013
37 3 p. 1084-1092
9 p.
artikel
30 The impact of technical defaults on dividend policy Bulan, Laarni
2013
37 3 p. 814-823
10 p.
artikel
31 The interest group theory of financial development: Evidence from regulation Hauner, David
2013
37 3 p. 895-906
12 p.
artikel
32 The investment strategies of publicly sponsored venture capital funds Buzzacchi, Luigi
2013
37 3 p. 707-716
10 p.
artikel
33 The performance of banks around the receipt and repayment of TARP funds: Over-achievers versus under-achievers Cornett, Marcia Millon
2013
37 3 p. 730-746
17 p.
artikel
34 The structure and degree of dependence: A quantile regression approach Baur, Dirk G.
2013
37 3 p. 786-798
13 p.
artikel
35 US presidential elections and implied volatility: The role of political uncertainty Goodell, John W.
2013
37 3 p. 1108-1117
10 p.
artikel
36 Valuation and systemic risk consequences of bank opacity Jones, Jeffrey S.
2013
37 3 p. 693-706
14 p.
artikel
                             36 gevonden resultaten
 
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