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                             19 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 An early warning indicator system to monitor the unsecured interbank funds market Sarmiento, Miguel
2017
40 C p. 114-128
15 p.
artikel
2 A post-Marxist approach in development finance: PMF or production mutualisation fund model applied to agriculture Son, Vien Nguyen
2017
40 C p. 94-104
11 p.
artikel
3 Are investors really home-biased when investing at home? Oehler, Andreas
2017
40 C p. 52-60
9 p.
artikel
4 Are there reliable determinant factors of capital structure decisions? Empirical study of SMEs in different regions of Portugal Matias, Fernanda
2017
40 C p. 19-33
15 p.
artikel
5 Capital structure in the Chilean corporate sector: Revisiting the stylized facts San Martín, Pablo
2017
40 C p. 163-174
12 p.
artikel
6 Contained crisis and socialized risk Nakabayashi, Masaki
2017
40 C p. 231-241
11 p.
artikel
7 Determinants of capital structure in emerging markets: Evidence from Vietnam Vo, Xuan Vinh
2017
40 C p. 105-113
9 p.
artikel
8 Does central bank governors term in office matter for macroprudential policies? Evidence from MENA banks Ghosh, Saibal
2017
40 C p. 34-51
18 p.
artikel
9 Inside front cover - Editorial Board - Bottom half 2017
40 C p. IFC-
1 p.
artikel
10 Is the M&A announcement effect different across Europe? More evidences from continental Europe and the UK Mateev, Miroslav
2017
40 C p. 190-216
27 p.
artikel
11 Legal jurisdiction, director liability law, and venture capitalists’ equity stakes in Africa Adongo, Jonathan O.
2017
40 C p. 78-93
16 p.
artikel
12 On the rationality and efficiency of inflation forecasts: Evidence from advanced and emerging market economies Jalles, João Tovar
2017
40 C p. 175-189
15 p.
artikel
13 Sanctions and the Russian stock market Ankudinov, Andrei
2017
40 C p. 150-162
13 p.
artikel
14 Sustainability of macroeconomic policies in selected MENA countries: Post financial and debt crises Neaime, Simon
2017
40 C p. 129-140
12 p.
artikel
15 The effects of revenue diversification and cross border banking on risk and return of banks in Africa Sissy, Aisha Mohammed
2017
40 C p. 1-18
18 p.
artikel
16 The impact of foreign equity flows on market volatility during politically tranquil and turbulent times: The Egyptian experience Ahmed, Walid M.A.
2017
40 C p. 61-77
17 p.
artikel
17 The synergy of financial sector development and information sharing in financial access: Propositions and empirical evidence Asongu, Simplice A.
2017
40 C p. 242-258
17 p.
artikel
18 True or spurious long memory in European non-EMU currencies Walther, Thomas
2017
40 C p. 217-230
14 p.
artikel
19 What explains corporate sukuk primary market spreads? Ayturk, Yusuf
2017
40 C p. 141-149
9 p.
artikel
                             19 gevonden resultaten
 
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