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                             25 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 A study on risk retention regulation in asset securitization process Guo, Guixia
2014
45 C p. 61-71
11 p.
artikel
2 Deciphering robust portfolios Kim, Woo Chang
2014
45 C p. 1-8
8 p.
artikel
3 Derivatives holdings and systemic risk in the U.S. banking sector Mayordomo, Sergio
2014
45 C p. 84-104
21 p.
artikel
4 Determinants of financial stress in emerging market economies Park, Cyn-Young
2014
45 C p. 199-224
26 p.
artikel
5 Do regulatory changes affect the underpricing of European IPOs? Akyol, Ali C.
2014
45 C p. 43-58
16 p.
artikel
6 Editorial Board 2014
45 C p. IFC-
1 p.
artikel
7 Guarantees, transparency and the interdependency between sovereign and bank default risk König, Philipp
2014
45 C p. 321-337
17 p.
artikel
8 Learning and incentive: A study on analyst response to pension underfunding Chen, Xuanjuan
2014
45 C p. 26-42
17 p.
artikel
9 Liquidity effects in corporate bond spreads Helwege, Jean
2014
45 C p. 105-116
12 p.
artikel
10 Liquidity, leverage, and Lehman: A structural analysis of financial institutions in crisis Chen, Ren-Raw
2014
45 C p. 117-139
23 p.
artikel
11 Liquidity provision and stock return predictability Hendershott, Terrence
2014
45 C p. 140-151
12 p.
artikel
12 Liquidity risk in stock returns: An event-study perspective Cao, Charles
2014
45 C p. 72-83
12 p.
artikel
13 Liquidity Risk, Reform of Bank Regulation, and Risk Management Wu, Ho-Mou
2014
45 C p. 59-60
2 p.
artikel
14 Liquidity shocks, governance, systemic risk and financial stability Ellis, Luci
2014
45 C p. 171-174
4 p.
artikel
15 Mapping the UK interbank system Langfield, Sam
2014
45 C p. 288-303
16 p.
artikel
16 Measuring systemic risk-adjusted liquidity (SRL)—A model approach Jobst, Andreas A.
2014
45 C p. 270-287
18 p.
artikel
17 Mutual monitoring and corporate governance (Frank) Li, Zhichuan
2014
45 C p. 255-269
15 p.
artikel
18 Predicting distress in European banks Betz, Frank
2014
45 C p. 225-241
17 p.
artikel
19 Reprint of: Market liquidity in the financial crisis: The role of liquidity commonality and flight-to-quality Rösch, Christoph G.
2014
45 C p. 152-170
19 p.
artikel
20 Risky adjustments or adjustments to risks: Decomposing bank leverage Koch, Cathérine Tahmee
2014
45 C p. 242-254
13 p.
artikel
21 Systematic liquidity and the funding liquidity hypothesis Qian, Xiaolin
2014
45 C p. 304-320
17 p.
artikel
22 Systemic risk, governance and global financial stability Ellis, Luci
2014
45 C p. 175-181
7 p.
artikel
23 The financial cycle and macroeconomics: What have we learnt? Borio, Claudio
2014
45 C p. 182-198
17 p.
artikel
24 The limits of granularity adjustments Fermanian, Jean-David
2014
45 C p. 9-25
17 p.
artikel
25 The spillover effects of unremunerated reserve requirements: Evidence from Thailand Vithessonthi, Chaiporn
2014
45 C p. 338-351
14 p.
artikel
                             25 gevonden resultaten
 
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