nr |
titel |
auteur |
tijdschrift |
jaar |
jaarg. |
afl. |
pagina('s) |
type |
1 |
A general model for financial crises: An application to eurozone crisis
|
Yener, Haluk |
|
|
70 |
C |
p. 202-229 |
artikel |
2 |
An empirical analysis of loan supply and demand in the euro area
|
Jung, Alexander |
|
|
70 |
C |
p. 187-201 |
artikel |
3 |
A quantization approach to the counterparty credit exposure estimation
|
Bonollo, Michele |
|
|
70 |
C |
p. 335-356 |
artikel |
4 |
Are idiosyncratic risk and extreme positive return priced in the Indian equity market?
|
Ali, Syed Riaz Mahmood |
|
|
70 |
C |
p. 530-545 |
artikel |
5 |
Assessing the impacts of financial stress index of developed countries on the exchange market pressure index of emerging countries
|
Ozcelebi, Oguzhan |
|
|
70 |
C |
p. 288-302 |
artikel |
6 |
Banking Network Multiplier effects on cross-border bank inflows
|
Yamamoto, Shugo |
|
|
70 |
C |
p. 493-507 |
artikel |
7 |
Can machine learning paradigm improve attribute noise problem in credit risk classification?
|
Yu, Lean |
|
|
70 |
C |
p. 440-455 |
artikel |
8 |
CEO inside debt holdings and CSR activities
|
Kim, Taeyeon |
|
|
70 |
C |
p. 508-529 |
artikel |
9 |
Choosing the weighting coefficients for estimating the term structure from sovereign bonds
|
Lapshin, Victor |
|
|
70 |
C |
p. 635-648 |
artikel |
10 |
Do cross-border mergers and acquisitions affect acquirers’ trade credit? Evidence from an emerging market
|
Li, Ying |
|
|
70 |
C |
p. 423-439 |
artikel |
11 |
Does asset redeployability affect corporate investment and equity value?
|
Rong, Yuen |
|
|
70 |
C |
p. 479-492 |
artikel |
12 |
Do Investors Need Kink to Cope with Ambiguity?
|
Nishiwaki, Takashi |
|
|
70 |
C |
p. 391-397 |
artikel |
13 |
Dynamics of variance risk premium: Evidence from India
|
Sankar, Ganesh |
|
|
70 |
C |
p. 321-334 |
artikel |
14 |
Editorial Board
|
|
|
|
70 |
C |
p. ii |
artikel |
15 |
Employee-related corporate social responsibilities and corporate innovation: Evidence from China
|
Liu, Baohua |
|
|
70 |
C |
p. 357-372 |
artikel |
16 |
Endogenous capital supply and equilibrium leadership in tax competition
|
Kawachi, Keisuke |
|
|
70 |
C |
p. 622-634 |
artikel |
17 |
Exchange rate predictability: A variable selection perspective
|
Kim, Young Min |
|
|
70 |
C |
p. 117-134 |
artikel |
18 |
FDI productivity spillovers and absorptive capacity in Brazilian firms: A threshold regression analysis
|
Moralles, Herick Fernando |
|
|
70 |
C |
p. 257-272 |
artikel |
19 |
Financial sector development and growth volatility: An international study
|
Xue, Wen-Jun |
|
|
70 |
C |
p. 67-88 |
artikel |
20 |
Formal credit and innovation: Is there a uniform relationship across types of innovation?
|
Wellalage, Nirosha Hewa |
|
|
70 |
C |
p. 1-15 |
artikel |
21 |
How does international trade affect U.S. corporate investment? Evidence from the asset tangibility channel
|
Burke, Qing L. |
|
|
70 |
C |
p. 41-54 |
artikel |
22 |
Innovation dynamics -what are the housing market uncertainty’s impacts
|
Zhang, Dongyang |
|
|
70 |
C |
p. 413-422 |
artikel |
23 |
Intraday price jumps, market liquidity, and the magnet effect of circuit breakers
|
Jian, Zhihong |
|
|
70 |
C |
p. 168-186 |
artikel |
24 |
Investments under vertical relations and agency conflicts: A real options approach
|
Zormpas, Dimitrios |
|
|
70 |
C |
p. 273-287 |
artikel |
25 |
Lender rationality and trade-off behavior: Evidence from Lending Club and Renrendai
|
Wang, Congcong |
|
|
70 |
C |
p. 55-66 |
artikel |
26 |
Liquidity policies and financial fragility
|
Lopomo Beteto Wegner, Danilo |
|
|
70 |
C |
p. 135-153 |
artikel |
27 |
Managerial ability, product market competition, and firm behavior
|
Yung, Kenneth |
|
|
70 |
C |
p. 102-116 |
artikel |
28 |
Measuring the effectiveness of volatility auctions
|
Castro, Carlos |
|
|
70 |
C |
p. 566-581 |
artikel |
29 |
Mitigating free riding in social networks: The impact of underestimating others’ ability in financial market
|
Ding, Jing |
|
|
70 |
C |
p. 582-599 |
artikel |
30 |
Pass-through of import cost into consumer prices and inflation in GCC countries: Evidence from a nonlinear autoregressive distributed lags model
|
Alsamara, Mouyad |
|
|
70 |
C |
p. 89-101 |
artikel |
31 |
Precautionary risks for an open economy
|
Ferreira, Alex |
|
|
70 |
C |
p. 154-167 |
artikel |
32 |
Pricing options on the maximum or minimum of multi-assets under jump-diffusion processes
|
Wang, Xingchun |
|
|
70 |
C |
p. 16-26 |
artikel |
33 |
Role of energy finance in geothermal power development in Japan
|
Taghizadeh-Hesary, Farhad |
|
|
70 |
C |
p. 398-412 |
artikel |
34 |
Stock market liquidity, funding liquidity, financial crises and quantitative easing
|
Mishra, Ajay Kumar |
|
|
70 |
C |
p. 456-478 |
artikel |
35 |
Stock market uncertainty, volatility connectedness of financial institutions, and stock-bond return correlations
|
Hsu, Chih-Hsiang |
|
|
70 |
C |
p. 600-621 |
artikel |
36 |
Sustainable factor investing: Where doing well meets doing good
|
Hua Fan, John |
|
|
70 |
C |
p. 230-256 |
artikel |
37 |
The comparative and interactive effects of political, academic and financial directors
|
Liu, Yu |
|
|
70 |
C |
p. 546-565 |
artikel |
38 |
The exchange rate and export variety: A cross-country analysis with long panel estimators
|
Goya, Daniel |
|
|
70 |
C |
p. 649-665 |
artikel |
39 |
The relationship of G-Index and convertible debt issuance in the presence of restrictive covenants
|
Akdoğu, Evrim |
|
|
70 |
C |
p. 373-390 |
artikel |
40 |
Valuation of Asian options with default risk under GARCH models
|
Wang, Xingchun |
|
|
70 |
C |
p. 27-40 |
artikel |
41 |
125 Years of time-varying effects of fiscal policy on financial markets
|
Marfatia, Hardik A. |
|
|
70 |
C |
p. 303-320 |
artikel |