Browsen in EconStor gesamt nach Autor:innen Scholtens, Bert
Zeige Ergebnisse 1 bis 8 von 8
Erscheinungsjahr | Titel | Autor:innen |
2002 | Bond Yield Spreads and Country Risk: A Lasting Relationship? | Scholtens, Bert |
2003 | How Important are Foreign Banks in the Financial Development of European Transition Countries? | Naaborg, Ilko; Scholtens, Bert; de Haan, Jakob; Bol, Hanneke; de Haas, Ralph |
2003 | The Theory of Financial Intermediation: An Essay On What It Does (Not) Explain | Scholtens, Bert; van Wensveen, Dick |
2012 | Testing uncovered interest rate parity using LIBOR | Omer, Muhammad; de Haan, Jakob; Scholtens, Bert |
2014 | The effects of corporate and country sustainability characteristics on the cost of debt: An international investigation | Hoepner, Andreas; Oikonomou, Ioannis; Scholtens, Bert; Schröder, Michael |
2015 | Analyzing Systemic Risk in the Chinese Banking System | Huang, Qiubin; de Haan, Jakob; Scholtens, Bert |
2015 | How does the development of the financial industry advance renewable energy? A panel regression study of 198 countries over three decades | Scholtens, Bert; Veldhuis, Rineke |
2021 | Impact investments: a call for (re)orientation | Busch, Timo; Bruce-Clark, Peter; Derwall, Jeroen; Eccles, Robert; Hebb, Tessa; Hoepner, Andreas; Klein, Christian; Krueger, Philipp; Paetzold, Falko; Scholtens, Bert; Weber, Olaf |