EconStor >

Search Results

 
for  

Results 151-160 of 176.


Item hits:

DateTitle Authors
2005 Does sovereign risk differ for domestic and foreign investors? Historical evidence from Scandinavian bond marketsWaldenström, Daniel
2010 What do banks do? What should banks do?Wray, L. Randall
2011 Market failures and regulatory failures: Lessons from past and present financial crisesAcharya, Viral V. / Cooley, Thomas / Richardson, Matthew / Walter, Ingo
2011 Is regulation essential to stock market development? Going public in London and Berlin, 1900-1913Burhop, Carsten / Chambers, David / Cheffins, Brian
2010 Financial inclusion and financial stability: Current policy issuesHannig, Alfred / Jansen, Stefan
2009 Securitization and moral hazard: Evidence from a lender cutoff ruleBubb, Ryan / Kaufman, Alex
2011 Securitization and moral hazard: Evidence from credit score cutoff rulesBubb, Ryan / Kaufman, Alex
2011 Federal reserve policies and financial market conditions during the crisisBrave, Scott A. / Genay, Hesna
2009 Enforcement in der Rechnungslegung: eine empirische Untersuchung der HDAX 110-UnternehmenHenselmann, Klaus / Klein, Martin / Schmidt, Mark
2009 Marktpreisrisiko-Reporting bei Nichtfinanzinstituten nach IFRS 7: empirische Befunde zum Einsatz von Value at Risk und Sensitivitätsanalysen bei kapitalmarktorientierten UnternehmenFürst, Benedikt / Henselmann, Klaus / Klein, Martin

Back 7 8 9 10 11 12 13 14 15 16 17 18 Next