Results 211-220 of 560.
|2012 ||Capital flows, financial asset prices and real financial market exchange rate: A case study for an emerging market, India||Ghosh, Saurabh / Reitz, Stefan
|2005 ||09/11 on the USD/EUR Foreign Exchange Market||Mende, Alexander
|2006 ||The role of banking portfolios in the transmission from currency crises to banking crises: potential effects of Basel II||Knedlik, Tobias / Ströbel, Johannes
|2010 ||Financial innovation and financial fragility||Gennaioli, Nicola / Shleifer, Andrei / Vishny, Robert
|2010 ||Contagion between European and US banks: Evidence from equity prices||Fricke, Daniel
|2008 ||Do credit rating agencies add value? Evidence from the sovereign rating business institutions||Cavallo, Eduardo A. / Powell, Andrew / Rigobón, Roberto
|1999 ||The Informational Advantage of Foreign Investors: An Empirical Study of the Swedish Bond Market||Säfvenblad, Patrik
|2010 ||Can common stocks provide a hedge against inflation? Evidence from African countries||Alagidede, Paul / Panagiotidis, Theodore
|2010 ||Sovereign wealth funds: form and function in the 21st century||Clark, Gordon L. / Monk, Ashby H. B.
|2009 ||Evaluating Greek equity funds using Data Envelopment Analysis||Babalos, Vassilios / Caporale, Guglielmo Maria / Philippas, Nikolaos