Skip navigation
A service of the
zbw
Contact
|
Imprint
|
Privacy
|
Sitemap
|
Accessibility
|
Deutsch
Home
About EconStor
About EconStor
Advisory Board
Policy
News
Terms of use
Usage statistics
Submit
for:
institutions
authors
Search
Browse by
Author
Year of Publication
Document Type
Communities & Collections
Journals
Monographs (by Publishers)
References
FAQ
Open Access
Contact
Imprint
Privacy
Sitemap
Deutsch
Home
About EconStor
Advisory Board
Policy
submit for institutions
submit for authors
Search
browse by Author
browse by Year of Publication
browse by Document Type
browse by Communities & Collections
browse by Journals
browse by Monographs (by Publishers)
News
Terms of use
Usage statistics
References
FAQ
Open Access
EconStor
Leibniz-Institut für Finanzmarktforschung SAFE – Sustainable Architecture for Finance in Europe, Frankfurt a. M.
Publikationen von Forscherinnen und Forschern des Leibniz-Instituts für Finanzmarktforschung SAFE
Search
Search in:
All of EconStor
Leibniz-Institut für Finanzmarktforschung SAFE – Sustainable Architecture for Finance in Europe, Frankfurt a. M.
Publikationen von Forscherinnen und Forschern des Leibniz-Instituts für Finanzmarktforschung SAFE
for
Start a new search
Add filters:
Use filters to refine the search results.
Title
Author
Subject
DDC
Date Issued
Has File(s)
Filename
File description
id
jel
series
language (ISO)
document type
ISBN
citation
ppn
Journal - issue
Journal - volume
Equals
Contains
ID
Not Equals
Not Contains
Not ID
Results 201-210 of 664.
Back
1
...
18
19
20
21
22
23
24
...
67
Next
Item hits:
Year of Publication
Title
Author(s)
2015
Mere criticism of the ECB is no solution
Fratzscher, Marcel
;
Gropp, Reint E.
;
Kotz, Hans-Helmut
;
Krahnen, Jan Pieter
;
Odendahl, Christian
;
di Mauro, Beatrice Weder
;
Wolff, Guntram B.
2023
Mental models of the stock market
Andre, Peter
;
Schirmer, Philipp
;
Wohlfart, Johannes
2013
Twin picks: Disentangling the determinants of risk-taking in household portfolios
Calvet, Laurent E.
;
Sodini, Paolo
2023
Do gamblers invest in lottery stocks?
Kormanyos, Emily
;
Hanspal, Tobin
;
Hackethal, Andreas
2013
Basel III and CEO compensation in banks: Pay structures as a regulatory signal
Eufinger, Christian
;
Gill, Andrej
2018
Networks in risk spillovers: A multivariate GARCH perspective
Billio, Monica
;
Caporin, Massimiliano
;
Frattarolo, Lorenzo
;
Pelizzon, Loriana
2014
Neuordnung der Finanzmärkte in Europa durch MiFID II/MiFIR
Gomber, Peter
;
Nassauer, Frank
2020
Inflation, Inflationsmessung und Zentralbankpolitik
Weichenrieder, Alfons J.
;
Gürer, Eren
2015
Three theses on the Greek crisis
Krahnen, Jan Pieter
2013
Performance benefits of tight control
Gill, Andrej
;
Visnjic, Nikolai
Author
61
Pelizzon, Loriana
60
Krahnen, Jan Pieter
34
Tröger, Tobias
25
Weichenrieder, Alfons J.
23
Hackethal, Andreas
21
Ludwig, Alexander
18
Kraft, Holger
17
Schlag, Christian
15
Faia, Ester
15
Haselmann, Rainer
.
next >
year of Publication
273
2020 - 2025
391
2013 - 2019