Search

Add filters:

Use filters to refine the search results.


Results 1-10 of 12.
Year of PublicationTitleAuthor(s)
2015Large-scale empirical tests of the Markov Tree model
In: volume: 3, 2015, issue: 3, p. 280-318
Bhat, Harish S.; Kumar, Nitesh
2015Net interoffice accounts of global banks: The role of domestic funding
In: volume: 3, 2015, issue: 3, p. 177-193
D'Avino, Carmela
2015A soft intelligent risk evaluation model for credit scoring classificatioin
In: volume: 3, 2015, issue: 3, p. 411-422
Khashei, Mehdi; Mirahmadi, Akram
2015Systemic risk in the European Union: A network approach to banks' sovereign debt exposures
In: volume: 3, 2015, issue: 3, p. 244-279
Westphal, Annika
2015The Swiss black swan bad scenario: Is Switzerland another casualty of the Eurozone crisis?
In: volume: 3, 2015, issue: 3, p. 351-380
Lleo, Sebastien; Ziemba, William T.
2015Fiscal deficits and stock prices in India: Empirical evidence
In: volume: 3, 2015, issue: 3, p. 393-410
Joshi, Pooja; Giri, Arun Kumar
2015Forecasting returns with fundamentals-removed investor sentiment
In: volume: 3, 2015, issue: 3, p. 319-341
Stivers, Adam
2015Bond indenture consent solicitations as a debt management tool
In: volume: 3, 2015, issue: 3, p. 230-243
Anderson-Parson, Jamie A.; Keasler, Terrill R.; Byerly, Robin T.
2015Determinants of the government bond yield in Spain: A loanable funds model
In: volume: 3, 2015, issue: 3, p. 342-350
Hsing, Yu
2015Corporate governance provisions, family involvement, and firm performance in publicly traded family firms
In: volume: 3, 2015, issue: 3, p. 194-229
Memili, Esra; Misra, Kaustav