Results 101-110 of 382.
|2013 ||Spillover effects among financial institutions: A state-dependent sensitivity value-at-risk approach||Adams, Zeno / Füss, Roland / Gropp, Reint
|2013 ||Does sophistication affect long-term return expectations? Evidence from financial advisers' exam scores||Kaustia, Markku / Lehtoranta, Antti / Puttonen, Vesa
|2011 ||Volatility patterns of CDS, bond and stock markets before and during the financial crisis: Evidence from major financial institutions||Belke, Ansgar / Gokus, Christian
|2009 ||Access to banking services and poverty reduction: a state-wise assessment in India||Bhandari, Amit K.
|2009 ||An axiomatic treatment of enlarged separation portfolios and treasurer's portfolios (with applications to financial synthetics)||Apreda, Rodolfo
|2013 ||Insight private equity||Gill, Andrej / Visnjic, Nikolai
|2002 ||Venture capital, double-sided adverse selection, and double-sided moral hazard||Houben, Eike
|2013 ||Performance benefits of tight control||Gill, Andrej / Visnjic, Nikolai
|2013 ||The productivity of return migrants: The case of China's Sea Turtles||Sun, Wei
|2009 ||Financing technology-based small firms in Europe: A review of the empirical evidence||Revest, Valérie / Sapio, Sandro