Results 141-150 of 265.
|2009 ||Different risk-adjusted fund performance measures: a comparison||Grau-Carles, Pilar / Sainz, Jorge / Otamendi, Javier / Doncel, Luis Miguel
|2011 ||Banking sectors' international interconnectedness: Implications for consumption risk sharing in Europe||Nitschka, Thomas
|2007 ||A discrete choice model of dividend reinvestment plans: Classification and prediction||Boehm, Thomas P. / DeGennaro, Ramon P.
|2011 ||The evolution of aggregate stock ownership||Rydqvist, Kristian / Spizman, Joshua / Strebulaev, Ilya
|2000 ||The volatility of capital flows to emerging markets and financial services trade||Beck, Roland
|2012 ||Borrowing Locally, Operating Globally? Financing and Trading Patterns of Firms during the 2007/2008 Economic Crisis||Neugebauer, Katja / Spies, Julia
|2012 ||Which banks are more risky? The impact of loan growth and business model on bank risk-taking||Köhler, Matthias
|2011 ||Understanding the high profitability of Chinese banks||Löchel, Horst / Li, Helena Xiang
|2011 ||Evaluating concepts for short-term control in financial service processes||Behley, Dustin / Leyer, Michael
|2006 ||Success breeds success locally: a tale of incubator firms||Inci, Eren