Results 91-100 of 237.
|2011 ||Export activities under financial constraints: Margins, quantities and prices||Secchi, Angelo / Tamagni, Federico / Tomasi, Chiara
|2010 ||Risk management among the poor: The case of microfinancial services||Arun, Thankom / Bendig, Mirko
|2013 ||Managing intraday liquidity: The Mexican experience||Alexandrova-Kabadjova, Biliana / Sols-Robleda, Francisco
|2012 ||The Mexican experience in how the settlement of large payments is performed in the presence of a high volume of small payments||Alexandrova-Kabadjova, Biliana / Solís-Robleda, Francisco
|2011 ||Financial development and innovation in China: Evidence from the provincial data||Hanley, Aoife / Liu, Wan-Hsin / Vaona, Andrea
|2009 ||The empirical relation between credit quality, recovery and correlation||Rösch, Daniel / Scheule, Harald
|2001 ||The Future of Banking in Europe||Schmidt, Reinhard H.
|2008 ||Legal origin and financial development: new evidence for old claims?the creditor rights index revisited||Graff, Michael
|2006 ||A tale of tails: An empirical analysis of loss distribution models for estimating operational risk capital||Dutta, Kabir / Perry, Jason
|2013 ||Financial Liberalization and the Relationship-Specificity of Exports||Defever, Fabrice / Suedekum, Jens