Results 151-160 of 471.
|2011 ||Home-field advantage or a matter of ambiguity aversion? Local bias among German individual investors||Baltzer, Markus / Stolper, Oscar / Walter, Andreas
|2013 ||A Capital Adequacy Buffer Model||Allen, David / McAleer, Michael
|2011 ||Theory of economy as the original cause of the world crisis||Jakóbik, Witold
|2010 ||The option of last resort: A two-currency EMU||Arghyrou, Michael G. / Tsoukalas, John D.
|2010 ||Capital regulation after the crisis: Business as usual?||Hellwig, Martin
|2010 ||On the existence and prevention of asset price bubbles||Enders, Zeno / Hakenes, Hendrik
|2011 ||Volatility patterns of CDS, bond and stock markets before and during the financial crisis: Evidence from major financial institutions||Belke, Ansgar / Gokus, Christian
|2014 ||Assessing systemic fragility: A probabilistic perspective||Radev, Deyan
|2011 ||$29,000,000,000,000: A detailed look at the Fed's bailout by funding facility and recipient||Felkerson, James
|2010 ||Detecting Ponzi finance: An evolutionary approach to the measure of financial fragility||Tymoigne, Éric