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                             25 results found
no title author magazine year volume issue page(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
article
2 A new risk factor based on equity duration Mohrschladt, Hannes
2018
96 C p. 126-135
article
3 A reinforced urn process modeling of recovery rates and recovery times Cheng, Dan
2018
96 C p. 1-17
article
4 Banks’ equity stakes and lending: Evidence from a tax reform von Beschwitz, Bastian
2018
96 C p. 322-343
article
5 Bond covenants and institutional blockholding Zhang, Xinde
2018
96 C p. 136-152
article
6 Corporate social responsibility, investor protection, and cost of equity: A cross-country comparison Breuer, Wolfgang
2018
96 C p. 34-55
article
7 Corporate transparency and reserve management: Evidence from US property-liability insurance companies Han, Sangyong
2018
96 C p. 379-392
article
8 Country transparency and the global transmission of financial shocks Brandao-Marques, Luis
2018
96 C p. 56-72
article
9 Covariance forecasting in equity markets Symitsi, Efthymia
2018
96 C p. 153-168
article
10 Curbing corporate debt bias: Do limitations to interest deductibility work? De Mooij, Ruud
2018
96 C p. 368-378
article
11 Deposit insurance, bank exit, and spillover effects Ji, Yang
2018
96 C p. 268-276
article
12 Disciplinary directors: Evidence from the appointments of outside directors who have fired CEOs Cai, Jay
2018
96 C p. 221-235
article
13 Dissecting bidder security returns on payment methods Li, Yuanzhi
2018
96 C p. 207-220
article
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
article
15 Editorial Board 2018
96 C p. ii
article
16 Financial development and the occurrence of banking crises Mathonnat, Clément
2018
96 C p. 344-354
article
17 Interest rate pass-through since the euro area crisis Holton, Sarah
2018
96 C p. 277-291
article
18 Ponzi schemes and the financial sector: DMG and DRFE in Colombia Hofstetter, Marc
2018
96 C p. 18-33
article
19 Price discovery in euro area sovereign credit markets and the ban on naked CDS Gyntelberg, Jacob
2018
96 C p. 106-125
article
20 Public guarantees to SME borrowing. A RDD evaluation de Blasio, Guido
2018
96 C p. 73-86
article
21 Smiling twice: The Heston++ model Pacati, Claudio
2018
96 C p. 185-206
article
22 Social stigma and executive compensation Novak, Jiri
2018
96 C p. 169-184
article
23 The cross-section of expected stock returns in the property/liability insurance industry Ben Ammar, Semir
2018
96 C p. 292-321
article
24 The Twitter myth revisited: Intraday investor sentiment, Twitter activity and individual-level stock return volatility Behrendt, Simon
2018
96 C p. 355-367
article
25 Turnover threat and CEO risk-taking behavior in the banking industry Chen, Zhongdong
2018
96 C p. 87-105
article
                             25 results found
 
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