EconStor >

Search Results

 
for  

Results 51-60 of 1413.


Item hits:

DateTitle Authors
2013 Lessons from the financial crisis: Bank performance and regulatory reformArjani, Neville / Paulin, Graydon
2013 A model of mortgage losses and its applications for macroprudential instrumentsHott, Christian
2013 Uncertainty and bank wholesale fundingDinger, Valeriya / Craig, Ben
2013 Modelling and measuring business risk and the resiliency of retail banksChaffai, Mohamed / Dietsch, Michel
2013 Specific trade facilitation measures to promote export of traditional knowledge based goods: A case study of Mukdahan and Nakhon PhanomCheewatrakoolpong, Kornkarun / Strobach, McKenzie
2013 On the existence of credit rationing and screening with loan size in competitive markets with imperfect informationKraus, Daniel
2013 Does borrowers' impatience disclose their hidden information about default risk?Kraus, Daniel
2005 Bank control and the number of bank relations of Japanese firmsOgawa, Kazuo / Sterken, Elmer / Tokutsu, Ichiro
2013 Banking capital and risk-taking adjustment under capital regulation: The role of financial freedom, concentration and governance controlLin, Shu Ling / Hwang, Da-Yeh / Wang, Keh Luh / Xie, Zhe Wen
2006 Bank lending and asset prices in the Euro area.Frömmel, Michael / Schmidt, Torsten

Back 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 Next