Results 81-90 of 210.
|2011 ||Warrant economics, call-put policy options and the fallacies of economic theory||Hatgioannides, John / Karanassou, Marika
|2011 ||Responses to the financial crisis, treasury debt, and the impact on short-term money markets||Hrung, Warren B. / Seligman, Jason S.
|2012 ||Shadow banking regulation||Adrian, Tobias / Ashcraft, Adam B.
|2012 ||Early warning indicators for the German banking system: A macroprudential analysis||Jahn, Nadya / Kick, Thomas
|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
|2011 ||Evolvement of uniformity and volatility in the stressed global financial village||Kenett, Dror Y. / Raddant, Matthias / Lux, Thomas / Ben-Jacob, Eshel