EconStor >

Search Results

 
for  

Results 41-50 of 118.


Item hits:

DateTitle Authors
2011 How policy changes affect shareholder wealth: The case of the Fukushima Daiichi nuclear disasterBetzer, André / Doumet, Markus / Rinne, Ulf
2011 How policy changes affect shareholder wealth: The case of the Fukushima Daiichi nuclear disasterBetzer, André / Doumet, Markus / Rinne, Ulf
2011 Financial regulatory harmonization in East Asia: Balancing domestic and international pressures for corporate governance reformsCarney, 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 aktivoinnissaMaula, Markku
2007 Monitoring, liquidity provision and financial crisis riskMundaca, B. Gabriela
2012 Board accountability and risk taking in banking: Evidence from a quasi-experimentKörner, 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-offsFrye, Jon / Pelz, Eduard
2011 Reexamining the empirical relation between loan risk and collateral: The roles of collateral characteristics and typesBerger, Allen N. / Frame, Scott / Ioannidou, Vasso

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