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                             24 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 AIDEA bicentenary conference Bigelli, Marco
2015
52 C p. 157-159
3 p.
artikel
2 Analyzing Federal Reserve asset purchases: From whom does the Fed buy? Carpenter, Seth
2015
52 C p. 230-244
15 p.
artikel
3 Bailout uncertainty in a microfounded general equilibrium model of the financial system Cukierman, Alex
2015
52 C p. 160-179
20 p.
artikel
4 Bank performance and convergence during the financial crisis: Evidence from the ‘old’ European Union and Eurozone Matousek, Roman
2015
52 C p. 208-216
9 p.
artikel
5 Capital requirements for over-the-counter derivatives central counterparties Lin, Li
2015
52 C p. 140-155
16 p.
artikel
6 Counterparty risk for CDS: Default clustering effects Bo, Lijun
2015
52 C p. 29-42
14 p.
artikel
7 Credit default swaps and the market for sovereign debt Ismailescu, Iuliana
2015
52 C p. 43-61
19 p.
artikel
8 Do mutual funds herd in industries? Celiker, Umut
2015
52 C p. 1-16
16 p.
artikel
9 Don’t Stand So Close to Me: The role of supervisory style in banking stability Carretta, Alessandro
2015
52 C p. 180-188
9 p.
artikel
10 Dynamic technical and allocative efficiencies in European banking Tsionas, Efthymios G.
2015
52 C p. 130-139
10 p.
artikel
11 Editorial Board 2015
52 C p. IFC-
1 p.
artikel
12 Editorial Note: Letter from the Editors-in-Chief Alexander, Carol
2015
52 C p. 156-
1 p.
artikel
13 Exclusion, competition, and regulation in the retail loan market Melnik, Arie
2015
52 C p. 189-198
10 p.
artikel
14 Financial distress, outside directors and corporate tax aggressiveness spanning the global financial crisis: An empirical analysis Richardson, Grant
2015
52 C p. 112-129
18 p.
artikel
15 Institutional failure or market failure? Mathur, Ike
2015
52 C p. 266-280
15 p.
artikel
16 Is volatility clustering of asset returns asymmetric? Ning, Cathy
2015
52 C p. 62-76
15 p.
artikel
17 Rate fears gauges and the dynamics of fixed income and equity volatilities Mele, Antonio
2015
52 C p. 256-265
10 p.
artikel
18 Shareholder value creation in Japanese banking Radić, Nemanja
2015
52 C p. 199-207
9 p.
artikel
19 The impact of monetary policy announcements on the stock price of large European banks during the financial crisis Ricci, Ornella
2015
52 C p. 245-255
11 p.
artikel
20 The performance of US equity mutual funds Babalos, Vassilios
2015
52 C p. 217-229
13 p.
artikel
21 Unconventional monetary policy had large international effects Neely, Christopher J.
2015
52 C p. 101-111
11 p.
artikel
22 Uninsured deposits as a monitoring device: Their impact on bond yields of banks Alanis, Emmanuel
2015
52 C p. 77-88
12 p.
artikel
23 Variable selection and corporate bankruptcy forecasts Tian, Shaonan
2015
52 C p. 89-100
12 p.
artikel
24 Why do options prices predict stock returns? Evidence from analyst tipping Lin, Tse-Chun
2015
52 C p. 17-28
12 p.
artikel
                             24 gevonden resultaten
 
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