Results 91-100 of 392.
|2013 ||Contextualizing systemic risk||Scheffknecht, Lukas
|2013 ||German real estate funds: Changes in return distributions and portfolio favourability||Stein, Michael
|2013 ||Systemic risk in the financial sector: What can se learn from option markets?||Kraft, Holger / Schmidt, Alexander
|2009 ||Regulatory constraints on bank leverage: Issues and lessons from the Canadian experience||Bordeleau, Etienne / Crawford, Allan / Graham, Christopher
|2010 ||Effects of the Global Financial and Economic Crisis on the Bolivian economy: A CGE approach||Cicowiez, Martin / Machicado, Carlos Gustavo
|2010 ||Measuring confidence and uncertainty during the financial crisis: Evidence from the CFS survey||Entorf, Horst / Knoll, Christian / Sattarova, Liliya
|2013 ||Cash holdings of German open-end equity funds: Does ownership matter?||Dötz, Niko / Weth, Mark
|2009 ||Who is hit hardest during a financial crisis? The vulnerability of young men and women to unemployment in an economic downturn||Verick, Sher
|2011 ||Exit strategies||Angeloni, Ignazio / Faia, Ester / Winkler, Roland C.
|2012 ||Post-mortem examination of the international financial network||Chinazzi, Matteo / Fagiolo, Giorgio / Reyes, Javier A. / Schiavo, Stefano