EconStor >

Search Results


Results 1-10 of 204.

Item hits:

DateTitle Authors
2013 Measuring the performance of banks: Theory, practice, evidence, and some policy implicationsJoseph P. Hughes / Loretta J. Mester
2002 The eastward enlargement of the Eurozone : the shaping of capital marketsMeyer, Thomas
2011 Forecasting financial and macroeconomic variables using data reduction methods: New empirical evidenceKim, Hyun Hak / Swanson, Norman R.
2008 Measuring financial asset return and volatilty spillovers, with application to global equity marketsDiebold, Francis X. / Yilmaz, Kamil
2013 Financing policies of Croatian publicly listed firmsGrubisic Seba, Mihaela
2005 Emotions, Bayesian inference, and financial decision makingSalzman, Diego / Trifan, Emanuela
2009 Return and volatility spillovers among the East Asian equity marketsYilmaz, Kamil
2013 Portfolio balance effects of the SNB's bond purchase programKettemann, Andreas / Krogstrup, Signe
2003 The eastward enlargement of the eurozone: social and policy aspects in Portugal, Spain and ItalyGalego, Aurora / Caétano, José / Costa, Sofia / Liiv, Reilika
2010 Did the Sarbanes-Oxley Act of 2002 make Firms less Opaque? Evidence from Analyst Earnings ForecastsArping, Stefan / Sautner, Zacharias

1 2 3 4 5 6 7 8 9 10 Next