Results 111-120 of 434.
|2011 ||The increased importance of asset price misalignments for business cycle dynamics||Bask, Mikael / Madeira, João
|2014 ||Exit strategies and their impact on the Euro area: A model based view||Belke, Ansgar
|2013 ||Tail parameters of stable distributions using one million observations of real estate returns from fice continents||Stein, Michael / Piazolo, Daniel / Stoyanov, Stoyan V.
|2011 ||Market liquidity and institutional trading during the 2007 - 8 financial crisis||Poon, Ser-Huang / Rockinger, Michael / Stathopoulos, Konstantinos
|2011 ||The great recession and bank lending to small businesses||Montoriol-Garriga, Judit / Wang, J. Christina
|2013 ||Contagion dynamics in EMU government bond spreads||Leschinski, Christian / Bertram, Philip
|2011 ||On the continuation of the great moderation: New evidence from G7 countries||Chen, Wenjuan
|2011 ||A network model of financial system resilience||Anand, Kartik / Gai, Prasanna / Kapadia, Sujit / Brennan, Simon / Willison, Matthew
|2011 ||Rollover risk, network structure and systemic financial crises||Anand, Kartik / Gai, Prasanna / Marsili, Matteo
|2011 ||The speculation bubble on the real estate market in the USA in view of selected overinvestment theories||Bochenek, Paweł