Results 101-110 of 271.
|2013 ||Stock Markets, Banks and Long Run Economics Growth: A Panel Cointegration-Based Analysis||Cavenaile, Laurent / Gengenbach, Christian / Palm, Franz
|2011 ||Institutional prerequisites of financial fragility within Minsky's financial instability hypothesis: A proposal in terms of "institutional fragility"||Sinapi, Christine
|2002 ||A note on the pricing of real estate index linked swaps||Björk, Tomas / Clapham, Eric
|2011 ||Capital allocation in financial institutions: the Euler method||Balog, Dóra
|2009 ||Developing Asian local currency bond markets: Why and how?||Spiegel, Mark M.
|2010 ||Estimating the structure of the payment network in the LVTS: An application of estimating communities in network data||Chapman, James T. E. / Zhang, Yinan
|2009 ||Short changed? The market's reaction to the short sale ban of 2008||Gagnon, Louis / Witmer, Jonathan
|2008 ||Which bank is the central bank? An application of Markov theory to the Canadian large value transfer system||Bech, Morten / Chapman, James T. E. / Garratt, Rod
|2013 ||Financial liberalization and the relationship-specificity of exports||Defever, Fabrice / Suedekum, Jens
|2006 ||Analysis of CDM Projects' Portfolio in West African Economic and Monetary Union - Regional Baseline Assessment in Energy Sector. Case Study: Benin, Burkina Faso, Niger and Togo||Satoguina, Honorat