Digitale Bibliotheek
Sluiten Bladeren door artikelen uit een tijdschrift
     Tijdschrift beschrijving
       Alle jaargangen van het bijbehorende tijdschrift
         Alle afleveringen van het bijbehorende jaargang
                                       Alle artikelen van de bijbehorende aflevering
 
                             25 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 A clustering approach and a rule of thumb for risk aggregation Di Lascio, F.  Marta  L.
2018
96 C p. 236-248
artikel
2 A new risk factor based on equity duration Mohrschladt, Hannes
2018
96 C p. 126-135
artikel
3 A reinforced urn process modeling of recovery rates and recovery times Cheng, Dan
2018
96 C p. 1-17
artikel
4 Banks’ equity stakes and lending: Evidence from a tax reform von Beschwitz, Bastian
2018
96 C p. 322-343
artikel
5 Bond covenants and institutional blockholding Zhang, Xinde
2018
96 C p. 136-152
artikel
6 Corporate social responsibility, investor protection, and cost of equity: A cross-country comparison Breuer, Wolfgang
2018
96 C p. 34-55
artikel
7 Corporate transparency and reserve management: Evidence from US property-liability insurance companies Han, Sangyong
2018
96 C p. 379-392
artikel
8 Country transparency and the global transmission of financial shocks Brandao-Marques, Luis
2018
96 C p. 56-72
artikel
9 Covariance forecasting in equity markets Symitsi, Efthymia
2018
96 C p. 153-168
artikel
10 Curbing corporate debt bias: Do limitations to interest deductibility work? De Mooij, Ruud
2018
96 C p. 368-378
artikel
11 Deposit insurance, bank exit, and spillover effects Ji, Yang
2018
96 C p. 268-276
artikel
12 Disciplinary directors: Evidence from the appointments of outside directors who have fired CEOs Cai, Jay
2018
96 C p. 221-235
artikel
13 Dissecting bidder security returns on payment methods Li, Yuanzhi
2018
96 C p. 207-220
artikel
14 Does carbon risk matter in firm dividend policy? Evidence from a quasi-natural experiment in an imputation environment Balachandran, Balasingham
2018
96 C p. 249-267
artikel
15 Editorial Board 2018
96 C p. ii
artikel
16 Financial development and the occurrence of banking crises Mathonnat, Clément
2018
96 C p. 344-354
artikel
17 Interest rate pass-through since the euro area crisis Holton, Sarah
2018
96 C p. 277-291
artikel
18 Ponzi schemes and the financial sector: DMG and DRFE in Colombia Hofstetter, Marc
2018
96 C p. 18-33
artikel
19 Price discovery in euro area sovereign credit markets and the ban on naked CDS Gyntelberg, Jacob
2018
96 C p. 106-125
artikel
20 Public guarantees to SME borrowing. A RDD evaluation de Blasio, Guido
2018
96 C p. 73-86
artikel
21 Smiling twice: The Heston++ model Pacati, Claudio
2018
96 C p. 185-206
artikel
22 Social stigma and executive compensation Novak, Jiri
2018
96 C p. 169-184
artikel
23 The cross-section of expected stock returns in the property/liability insurance industry Ben Ammar, Semir
2018
96 C p. 292-321
artikel
24 The Twitter myth revisited: Intraday investor sentiment, Twitter activity and individual-level stock return volatility Behrendt, Simon
2018
96 C p. 355-367
artikel
25 Turnover threat and CEO risk-taking behavior in the banking industry Chen, Zhongdong
2018
96 C p. 87-105
artikel
                             25 gevonden resultaten
 
 Koninklijke Bibliotheek - Nationale Bibliotheek van Nederland