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                             41 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 A novel equity valuation and capital allocation model for use by long-term value-investors Rajaratnam, Myuran
2014
49 C p. 483-494
12 p.
artikel
2 Bank risk and national governance in Asia Williams, Barry
2014
49 C p. 10-26
17 p.
artikel
3 Central bank liquidity provision and collateral quality Koulischer, François
2014
49 C p. 113-130
18 p.
artikel
4 CEO duality and firm performance: Evidence from an exogenous shock to the competitive environment Yang, Tina
2014
49 C p. 534-552
19 p.
artikel
5 Correlated bank runs, interbank markets and reserve requirements Cañón, Carlos
2014
49 C p. 515-533
19 p.
artikel
6 Credit rating dynamics and competition Hirth, Stefan
2014
49 C p. 100-112
13 p.
artikel
7 Credit spread changes within switching regimes Maalaoui Chun, Olfa
2014
49 C p. 41-55
15 p.
artikel
8 Does bank market power affect SME financing constraints? Ryan, Robert M.
2014
49 C p. 495-505
11 p.
artikel
9 Does competition influence the bank lending channel in the euro area? Fungáčová, Zuzana
2014
49 C p. 356-366
11 p.
artikel
10 Editorial Board 2014
49 C p. IFC-
1 p.
artikel
11 Estimating the distribution of total default losses on the Spanish financial system García-Céspedes, Rubén
2014
49 C p. 242-261
20 p.
artikel
12 Ex-ante implications of sovereign default Malik, Samreen
2014
49 C p. 386-397
12 p.
artikel
13 Financial fragility in the Great Moderation Bezemer, Dirk
2014
49 C p. 169-177
9 p.
artikel
14 Finding the core: Network structure in interbank markets in ’t Veld, Daan
2014
49 C p. 27-40
14 p.
artikel
15 Forecasting US recessions: The role of sentiment Christiansen, Charlotte
2014
49 C p. 459-468
10 p.
artikel
16 Homeownership, informality and the transmission of monetary policy Elgin, Ceyhun
2014
49 C p. 160-168
9 p.
artikel
17 House prices, capital inflows and macroprudential policy Mendicino, Caterina
2014
49 C p. 337-355
19 p.
artikel
18 Informed trading before positive vs. negative earnings surprises Park, Tae-Jun
2014
49 C p. 228-241
14 p.
artikel
19 Institutions and the turn-of-the-year effect: Evidence from actual institutional trades Lynch, Andrew
2014
49 C p. 56-68
13 p.
artikel
20 Integrating corporate ownership and pension fund structures: A general equilibrium approach Ebrahim, M. Shahid
2014
49 C p. 553-569
17 p.
artikel
21 Macroprudential and monetary policies: Implications for financial stability and welfare Rubio, Margarita
2014
49 C p. 326-336
11 p.
artikel
22 Mutual fund herding in response to hedge fund herding and the impacts on stock prices Jiao, Yawen
2014
49 C p. 131-148
18 p.
artikel
23 News sentiment in the gold futures market Smales, Lee A.
2014
49 C p. 275-286
12 p.
artikel
24 Options resilience during extreme volatility: Evidence from the market events of May 2010 Cakici, Nusret
2014
49 C p. 262-274
13 p.
artikel
25 Reprint of: The impact of enterprise risk management on the marginal cost of reducing risk: Evidence from the insurance industry Eckles, David L.
2014
49 C p. 409-423
15 p.
artikel
26 Risk allocation under liquidity constraints Csóka, Péter
2014
49 C p. 1-9
9 p.
artikel
27 Sell-side analysts’ career concerns during banking stresses Nolte, Ingmar
2014
49 C p. 424-441
18 p.
artikel
28 Semiparametric estimation of multi-asset portfolio tail risk Dias, Alexandra
2014
49 C p. 398-408
11 p.
artikel
29 Stress testing interest rate risk exposure Abdymomunov, Azamat
2014
49 C p. 287-301
15 p.
artikel
30 The determinants of international equity investment: Do they differ between institutional and noninstitutional investors? Roque, Vanda
2014
49 C p. 469-482
14 p.
artikel
31 The dynamics of hedge fund share restrictions Hong, Xin
2014
49 C p. 82-99
18 p.
artikel
32 The great entanglement: The contagious capacity of the international banking network just before the 2008 crisis Garratt, Rodney J.
2014
49 C p. 367-385
19 p.
artikel
33 The impact of economic news on bond prices: Evidence from the MTS platform Paiardini, Paola
2014
49 C p. 302-322
21 p.
artikel
34 The influence of buy-side analysts on mutual fund trading Frey, Stefan
2014
49 C p. 442-458
17 p.
artikel
35 The poor are twice cursed: Wealth inequality and inefficient credit market Coco, Giuseppe
2014
49 C p. 149-159
11 p.
artikel
36 The q-theory explanation for the external financing effect: New evidence Huang, Yuan
2014
49 C p. 69-81
13 p.
artikel
37 The search for financial stability: Models, policies and prospects Duygun, Meryem
2014
49 C p. 323-325
3 p.
artikel
38 Time-varying expected momentum profits Kim, Dongcheol
2014
49 C p. 191-215
25 p.
artikel
39 Trademarking status and economic efficiency among commercial banks: Some evidence for the UK Duygun, Meryem
2014
49 C p. 506-514
9 p.
artikel
40 Unobserved systematic risk factor and default prediction Qi, Min
2014
49 C p. 216-227
12 p.
artikel
41 What types of banks profit most from fees charged? A cross-country examination of bank-specific and country-level determinants Tennant, David
2014
49 C p. 178-190
13 p.
artikel
                             41 gevonden resultaten
 
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