|
|
EconStor >
Search Results
Results 41-50 of 118.
Item hits:
| Date | Title |
Authors |
| 2011 | How policy changes affect shareholder wealth: The case of the Fukushima Daiichi nuclear disaster | Betzer, André / Doumet, Markus / Rinne, Ulf |
| 2011 | How policy changes affect shareholder wealth: The case of the Fukushima Daiichi nuclear disaster | Betzer, André / Doumet, Markus / Rinne, Ulf |
| 2011 | Financial regulatory harmonization in East Asia: Balancing domestic and international pressures for corporate governance reforms | Carney, Richard W. |
| 2010 | The financial crisis: A wake-up call for strengthening regional monitoring of financial markets and regional coordination of financial sector policies? | Winkler, Adalbert |
| 2007 | Verokannustimet yksityishenkilöiden riskipääomasijoitusten aktivoinnissa | Maula, Markku |
| 2007 | Monitoring, liquidity provision and financial crisis risk | Mundaca, B. Gabriela |
| 2012 | Board accountability and risk taking in banking: Evidence from a quasi-experiment | Körner, Tobias |
| 2010 | Resolving troubled systemically important cross-border financial institutions: Is a new corporate organizational form required? | Cumming, Christine / Eisenbeis, Robert A. |
| 2008 | BankCaR (Bank Capital-at-Risk): A credit risk model for US commercial bank charge-offs | Frye, Jon / Pelz, Eduard |
| 2011 | Reexamining the empirical relation between loan risk and collateral: The roles of collateral characteristics and types | Berger, Allen N. / Frame, Scott / Ioannidou, Vasso |
Back
1
2
3
4
5
6
7
8
9
10
11
12
Next
|