Results 161-170 of 743.
|1991 ||Accounting for Macroeconomic Influences on the Firm||Oxelheim, Lars / Wihlborg, Clas
|2006 ||The structure and performance of Ethiopia's financial sector in the pre- and post-reform period with a special focus on banking||Geda, Alemayehu
|2013 ||Product Innovation and Trade Credit Demand and Supply: Evidence from European Countries||Nielen, Sebastian
|2012 ||Countercyclical capital regulation and bank ownership structure||Trani, Tommaso
|2013 ||Leverage and Risk Taking under Moral Hazard||Hott, Christian
|2013 ||Bank risk taking and competition: Evidence from regional banking markets||Kick, Thomas / Prieto, Esteban
|2004 ||Profit Sharing, Credit Market Imperfections and Equilibrium Unemployment||Koskela, Erkki / Stenbacka, Rune
|2008 ||Support vector regression based GARCH model with application to forecasting volatility of financial returns||Chen, Shiyi / Jeong, Kiho / Härdle, Wolfgang Karl
|2013 ||The Limits of Central Counterparty Clearing: Collusive Moral Hazard and Market Liquidity||Koeppl, Thorsten V.
|Dec-2013 ||SPACs in Shipping||Shachmurove, Yochanan / Vulanovic, Milos