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                             22 results found
no title author magazine year volume issue page(s) type
1 Almost marginal conditional stochastic dominance Denuit, Michel M.
2014
41 C p. 57-66
10 p.
article
2 An analysis of price discovery from panel data models of CDS and equity returns Narayan, Paresh Kumar
2014
41 C p. 167-177
11 p.
article
3 Are founding families special blockholders? An investigation of controlling shareholder influence on firm performance Isakov, Dušan
2014
41 C p. 1-16
16 p.
article
4 Bank income smoothing, ownership concentration and the regulatory environment Bouvatier, Vincent
2014
41 C p. 253-270
18 p.
article
5 Banking deregulation, consolidation, and corporate cash holdings: U.S. evidence Francis, Bill
2014
41 C p. 45-56
12 p.
article
6 Bank–SMEs relationships and banks’ risk-adjusted profitability Fredriksson, Antti
2014
41 C p. 67-77
11 p.
article
7 Board changes and CEO turnover: The unanticipated effects of the Sarbanes–Oxley Act Dah, Mustafa A.
2014
41 C p. 97-108
12 p.
article
8 Clustering of intraday order-sizes by uninformed versus informed traders Garvey, Ryan
2014
41 C p. 222-235
14 p.
article
9 Competition, premature trading and excess volatility Deb, Pragyan
2014
41 C p. 178-193
16 p.
article
10 Does too much finance harm economic growth? Law, Siong Hook
2014
41 C p. 36-44
9 p.
article
11 Editorial Board 2014
41 C p. IFC-
1 p.
article
12 Equilibrium credit: The reference point for macroprudential supervisors Buncic, Daniel
2014
41 C p. 135-154
20 p.
article
13 Has market discipline on banks improved after the Dodd–Frank Act? Balasubramnian, Bhanu
2014
41 C p. 155-166
12 p.
article
14 How important is the credit channel? An empirical study of the US banking crisis Liu, Chunping
2014
41 C p. 119-134
16 p.
article
15 Investor attention, index performance, and return predictability Vozlyublennaia, Nadia
2014
41 C p. 17-35
19 p.
article
16 Managerial optimism and earnings smoothing Bouwman, Christa H.S.
2014
41 C p. 283-303
21 p.
article
17 Subprime cohorts and loan performance Bhardwaj, Geetesh
2014
41 C p. 236-252
17 p.
article
18 Tax evasion, financial development and inflation: Theory and empirical evidence Bittencourt, Manoel
2014
41 C p. 194-208
15 p.
article
19 Testing for a break in the persistence in yield spreads of EMU government bonds Sibbertsen, Philipp
2014
41 C p. 109-118
10 p.
article
20 The determinants of CDS spreads Galil, Koresh
2014
41 C p. 271-282
12 p.
article
21 The impacts of Gramm–Leach–Bliley bank diversification on value and risk Filson, Darren
2014
41 C p. 209-221
13 p.
article
22 What factors drive systemic risk during international financial crises? Weiß, Gregor N.F.
2014
41 C p. 78-96
19 p.
article
                             22 results found
 
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