EconStor >

Search Results

 
for  

Results 91-100 of 1564.


Item hits:

DateTitle Authors
2010 Systemic Risk DiagnosticsSchwaab, Bernd / Lucas, Andre / Koopman, Siem Jan
2011 A Pigovian Approach to Liquidity RegulationPerotti, Enrico / Suarez, Javier
2014 The Middle Eastern Wealth Management Industry: Boon or Bust?Michael, Bryane / Apostoloski, Nenad
2014 Playing the Shadowy World of Emerging Market Shadow BankingMichael, Bryane
2013 Granularity in banking and growth: Does financial openness matter?Bremus, Franziska / Buch, Claudia M.
2008 Forecasting Cross-Sections of Frailty-Correlated DefaultKoopman, Siem Jan / Lucas, André / Schwaab, Bernd
2009 CDOs and systematic risk: Why bond ratings are inadequateKrahnen, Jan Pieter / Wilde, Christian
2004 Change and Crisis in the Japanese Banking IndustryKrawczyk, Mariusz K.
2014 Financial stress, regime switching and macrodynamics: Theory and empirics for the US, the EU and non-EU countriesSemmler, Willi / Chen, Pu
2010 When do we have borrower or credit volume rationing in competitive credit market with imperfect information?Kraus, Daniel

Back 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 Next