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                             32 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 A new set of improved Value-at-Risk backtests Ziggel, Daniel
2014
48 C p. 29-41
13 p.
artikel
2 A sheep in wolf’s clothing: Can a central bank appear tougher than it is? Nijskens, Rob
2014
48 C p. 94-103
10 p.
artikel
3 Banking risk and macroeconomic fluctuations Jin, Yi
2014
48 C p. 350-360
11 p.
artikel
4 Bank liquidity, stock market participation, and economic growth Mattana, Elena
2014
48 C p. 292-306
15 p.
artikel
5 Bank pay caps, bank risk, and macroprudential regulation Thanassoulis, John
2014
48 C p. 139-151
13 p.
artikel
6 Bank risk within and across equilibria Agur, Itai
2014
48 C p. 322-333
12 p.
artikel
7 Can European bank bailouts work? Schoenmaker, Dirk
2014
48 C p. 334-349
16 p.
artikel
8 Corporate governance and the dynamics of capital structure: New evidence Chang, Ya-Kai
2014
48 C p. 374-385
12 p.
artikel
9 Credit constraints and spillovers from foreign firms in China Agarwal, Natasha
2014
48 C p. 261-275
15 p.
artikel
10 Discretionary ratings and the pricing of subprime mortgage-backed securities Lugo, Stefano
2014
48 C p. 248-260
13 p.
artikel
11 Does bank ownership affect lending behavior? Evidence from the Euro area Ferri, Giovanni
2014
48 C p. 194-209
16 p.
artikel
12 Does global liquidity drive commodity prices? Beckmann, Joscha
2014
48 C p. 224-234
11 p.
artikel
13 Do Japanese candlesticks help solve the trader’s dilemma? Detollenaere, Benoit
2014
48 C p. 386-395
10 p.
artikel
14 Editorial Board 2014
48 C p. IFC-
1 p.
artikel
15 Exploiting commodity momentum along the futures curves de Groot, Wilma
2014
48 C p. 79-93
15 p.
artikel
16 Financial globalisation and sustainable finance: Implications for policy and practice Aziakpono, Meshach
2014
48 C p. 137-138
2 p.
artikel
17 Funding advantage and market discipline in the Canadian banking sector Beyhaghi, Mehdi
2014
48 C p. 396-410
15 p.
artikel
18 Global governance: Global banks and shadow banks supervision Moshirian, Fariborz
2014
48 C p. 307-311
5 p.
artikel
19 How does deposit insurance affect bank risk? Evidence from the recent crisis Anginer, Deniz
2014
48 C p. 312-321
10 p.
artikel
20 Information asymmetry around operational risk announcements Barakat, Ahmed
2014
48 C p. 152-179
28 p.
artikel
21 Interest rate forecasts, state price densities and risk premium from Euribor options Ivanova, Vesela
2014
48 C p. 210-223
14 p.
artikel
22 Openness and the finance-growth nexus Herwartz, Helmut
2014
48 C p. 235-247
13 p.
artikel
23 Rehypothecation dilemma: Impact of collateral rehypothecation on derivative prices under bilateral counterparty credit risk Sakurai, Yuji
2014
48 C p. 361-373
13 p.
artikel
24 Short-selling, margin-trading, and price efficiency: Evidence from the Chinese market Chang, Eric C.
2014
48 C p. 411-424
14 p.
artikel
25 Socially responsible funds and market crises Nofsinger, John
2014
48 C p. 180-193
14 p.
artikel
26 State ownership, soft-budget constraints, and cash holdings: Evidence from China’s privatized firms Megginson, William L.
2014
48 C p. 276-291
16 p.
artikel
27 The cost of capital and optimal financing policy in a dynamic setting Karpavičius, Sigitas
2014
48 C p. 42-56
15 p.
artikel
28 The effect of liquidity and solvency risk on the inclusion of bond covenants Cook, Douglas O.
2014
48 C p. 120-136
17 p.
artikel
29 The interest rate pass-through in the Euro area during the global financial crisis Hristov, Nikolay
2014
48 C p. 104-119
16 p.
artikel
30 The rise of UK Seasoned Equity Offerings (SEOs) fees during the financial crisis: The role of institutional shareholders and underwriters Levis, Mario
2014
48 C p. 13-28
16 p.
artikel
31 The role of correlation dynamics in sector allocation Kalotychou, Elena
2014
48 C p. 1-12
12 p.
artikel
32 Too close for comfort? Geographic propinquity to political power and stock returns Pantzalis, Christos
2014
48 C p. 57-78
22 p.
artikel
                             32 gevonden resultaten
 
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