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                             47 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 A macro-financial analysis of the euro area sovereign bond market Dewachter, Hans
2015
50 C p. 308-325
18 p.
artikel
2 Assessing competition in the banking industry: A multi-product approach Barbosa, Klenio
2015
50 C p. 340-362
23 p.
artikel
3 A theoretical model of bank lending: Does ownership matter in times of crisis? Brei, Michael
2015
50 C p. 298-307
10 p.
artikel
4 Bank ownership and credit over the business cycle: Is lending by state banks less procyclical? Bertay, Ata Can
2015
50 C p. 326-339
14 p.
artikel
5 Bank regulation, risk and return: Evidence from the credit and sovereign debt crises Hoque, Hafiz
2015
50 C p. 455-474
20 p.
artikel
6 Combining accounting data and a structural model for predicting credit ratings: Empirical evidence from European listed firms Doumpos, Michael
2015
50 C p. 599-607
9 p.
artikel
7 Contagious synchronization and endogenous network formation in financial networks Aymanns, Christoph
2015
50 C p. 273-285
13 p.
artikel
8 Convergence of European retail payments Martikainen, Emmi
2015
50 C p. 81-91
11 p.
artikel
9 Convertibility restriction in China’s foreign exchange market and its impact on forward pricing Wang, Yi David
2015
50 C p. 616-631
16 p.
artikel
10 Credit spreads with dynamic debt Das, Sanjiv R.
2015
50 C p. 121-140
20 p.
artikel
11 Cross-border banking, bank market structures and market power: Theory and cross-country evidence Bremus, Franziska M.
2015
50 C p. 242-259
18 p.
artikel
12 Cross-border LBOs Cao, Jerry X.
2015
50 C p. 69-80
12 p.
artikel
13 Does microfinance change informal lending in village economies? Evidence from Bangladesh Islam, Asadul
2015
50 C p. 141-156
16 p.
artikel
14 Dynamic interaction between markets for leasing and selling automobiles Andrikopoulos, Athanasios
2015
50 C p. 260-270
11 p.
artikel
15 Editorial Board 2015
50 C p. IFC-
1 p.
artikel
16 Financial literacy and the demand for financial advice Calcagno, Riccardo
2015
50 C p. 363-380
18 p.
artikel
17 Financial regulation and systemic risk Andriosopoulos, Kostas
2015
50 C p. 381-382
2 p.
artikel
18 Generalized runs tests to detect randomness in hedge funds returns Hentati-Kaffel, Rania
2015
50 C p. 608-615
8 p.
artikel
19 Herding on fundamental information: A comparative study Galariotis, Emilios C.
2015
50 C p. 589-598
10 p.
artikel
20 How likely is contagion in financial networks? Glasserman, Paul
2015
50 C p. 383-399
17 p.
artikel
21 Identifying, valuing and hedging of embedded options in non-maturity deposits Blöchlinger, Andreas
2015
50 C p. 34-51
18 p.
artikel
22 Industry characteristics and financial risk contagion Chiu, Wan-Chien
2015
50 C p. 411-427
17 p.
artikel
23 Liquidity, credit quality, and the relation between volatility and trading activity: Evidence from the corporate bond market Wang, Junbo
2015
50 C p. 183-203
21 p.
artikel
24 Liquidity risk and policy options Maddaloni, Giuseppe
2015
50 C p. 514-527
14 p.
artikel
25 Measuring the liquidity part of volume Darolles, Serge
2015
50 C p. 92-105
14 p.
artikel
26 Modeling contagion in the Eurozone crisis via dynamical systems Castellacci, Giuseppe
2015
50 C p. 400-410
11 p.
artikel
27 Momentum is really short-term momentum Gong, Qiang
2015
50 C p. 169-182
14 p.
artikel
28 Monitoring the “invisible” hand of market discipline: Capital adequacy revisited Hasan, Iftekhar
2015
50 C p. 475-492
18 p.
artikel
29 Multinational banks in the crisis: Foreign affiliate lending as a mirror of funding pressure and competition on the internal capital market Frey, Rainer
2015
50 C p. 52-68
17 p.
artikel
30 National culture and corporate cash holdings around the world Chen, Yangyang
2015
50 C p. 1-18
18 p.
artikel
31 On the use of options by mutual funds: Do they know what they are doing? Cici, Gjergji
2015
50 C p. 157-168
12 p.
artikel
32 Order-to-trade ratios and market liquidity Friederich, Sylvain
2015
50 C p. 214-223
10 p.
artikel
33 Privatization, financial development, property rights and growth Marcelin, Isaac
2015
50 C p. 528-546
19 p.
artikel
34 Reputation, risk-taking, and macroprudential policy Aikman, David
2015
50 C p. 428-439
12 p.
artikel
35 Risk, financial stability and banking Tabak, Benjamin Miranda
2015
50 C p. 271-272
2 p.
artikel
36 Robustness of distance-to-default Jessen, Cathrine
2015
50 C p. 493-505
13 p.
artikel
37 Statistical evidence about LIBOR manipulation: A “Sherlock Holmes” investigation Fouquau, Julien
2015
50 C p. 632-643
12 p.
artikel
38 Systemic banks and the lender of last resort Ponce, Jorge
2015
50 C p. 286-297
12 p.
artikel
39 The impact of institutional investors on mergers and acquisitions in the United Kingdom Andriosopoulos, Dimitris
2015
50 C p. 547-561
15 p.
artikel
40 The impact of the EU/ECB/IMF bailout programs on the financial and real sectors of the ASE during the Greek sovereign crisis Kosmidou, Kyriaki V.
2015
50 C p. 440-454
15 p.
artikel
41 The importance of being systemically important financial institutions Bongini, Paola
2015
50 C p. 562-574
13 p.
artikel
42 The information content of option-implied information for volatility forecasting with investor sentiment Seo, Sung Won
2015
50 C p. 106-120
15 p.
artikel
43 The prediction of fund failure through performance diagnostics Cogneau, Philippe
2015
50 C p. 224-241
18 p.
artikel
44 The role of life insurance in an emerging economy: Human capital protection, assets allocation and social interaction Shi, Xiaojun
2015
50 C p. 19-33
15 p.
artikel
45 The role of regulatory credibility in effective bank regulation Clark, Ephraim
2015
50 C p. 506-513
8 p.
artikel
46 Wall of cash: The investment-cash flow sensitivity when capital becomes abundant Andrén, Niclas
2015
50 C p. 204-213
10 p.
artikel
47 Which are the SIFIs? A Component Expected Shortfall approach to systemic risk Banulescu, Georgiana-Denisa
2015
50 C p. 575-588
14 p.
artikel
                             47 gevonden resultaten
 
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