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 |