Results 41-50 of 458.
|2010 ||Macroeconomic factors and micro-level bank risk||Buch, Claudia M. / Eickmeier, Sandra / Prieto, Esteban
|2011 ||Substitution between net and gross settlement systems: A concern for financial stability?||Craig, Ben / Fecht, Falko
|2011 ||In search for yield? Survey-based evidence on bank risk taking||Buch, Claudia M. / Eickmeier, Sandra / Prieto, Esteban
|2003 ||The stock return-inflation puzzle and the asymmetric causality in stock returns, inflation and real activity||Kim, Jeong-Ryeol
|2003 ||Price dividend models, expectations formation, and monetary policy||Valckx, Nico
|2008 ||Price adjustment to news with uncertain precision||Hautsch, Nikolaus / Hess, Dieter E. / Müller, Christoph
|2008 ||Customer flow, intermediaries, and the discovery of the equilibrium riskfree rate||Menkveld, Albert J. / Sarkar, Asani / van der Wel, Michel
|2003 ||Bank behavior, interest rate targeting and monetary policy transmission||Hülsewig, Oliver
|2004 ||Bank Loan Supply and Monetary Policy Transmission in Germany: An Assessment based on Matching Impulse Responses||Hülsewig, Oliver / Mayer, Eric / Wollmershäuser, Timo
|2000 ||Surprises in scheduled releases: why do they move the bond market?||Hess, Dieter E.