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Research classified by Journal of Economic Literature (JEL) codes


Top JEL
/ G: Financial Economics
/ / G2: Financial Institutions and Services
/ / / G20: General
Most recent items first, undated at the end.
  • 2008 Regulatory capital for market and credit risk interaction: is current regulation always conservative?
    by Breuer, Thomas & Jandacka, Martin & Rheinberger, Klaus & Summer, Martin [Downloadable!]
  • 2008 Financial Systems, Micro-Systemic Risks and Central Bank Policy : An Analytical Taxonomy of the Literature
    by Moheeput, Ashwin [Downloadable!]
  • 2008 Credit Losses in Australasian Banking
    by Kurt Hess & Arthur Grimes & Mark J. Holmes [Downloadable!]
  • 2008 Adverse Selection, Credit, and Efficiency: the Case of the Missing Market
    by Alberto Martin [Downloadable!]
  • 2008 Raisons Fondamentales d’une Régulation Prudentielle du Secteur des Assurances
    by Benjamin Lorent [Downloadable!]
  • 2008 Risks and Regulation of Insurance Companies. Is Solvency II the Right Answer?
    by Benjamin Lorent [Downloadable!]
  • 2008 Good IPOs draw in bad: Inelastic banking capacity and hot markets
    by Naveen Khanna & Thomas H. Noe & Ramana Sonti [Downloadable!]
  • 2008 Activists, raiders, and directors: Opportunism and the balance of corporate power
    by Thomas H. Noe & Michael J. Rebello & Ramana Sonti [Downloadable!]
  • 2008 Bank Debt Restructuring under Belgian Court-Supervised Reorganization
    by B. LEYMAN & K. SCHOORS [Downloadable!]
  • 2008 Costly External Finance and Investment Efficiency in a Market Equilibrium Model
    by Jan Zabojnik [Downloadable!]
  • 2008 Financial And Legal Constraints To Firm Growth: Tha Case Of Italy
    by SARNO, DOMENICO [Downloadable!]
  • 2008 Moral Behavior in Stock Markets: Islamic finance and socially responsible investment
    by Pitluck, Aaron Z. [Downloadable!]
  • 2008 The Allocation of Economic Capital in Opaque Financial Conglomerates
    by Mierzejewski, Fernando [Downloadable!]
  • 2008 Italian Open End Mutual Fund Costs
    by Anolli, Mario & Del Giudice, Alfonso [Downloadable!]
  • 2008 Risk aversion and the dynamics of optimal liquidation strategies in illiquid markets
    by Schied, Alexander & Schoeneborn, Torsten [Downloadable!]
  • 2008 Information Transmission in Emerging Markets: The Case of a Unique Financing Instrument
    by Siddiqi, Hammad [Downloadable!]
  • 2008 Banking Globalization, Monetary Transmission, and the Lending Channel
    by Nicola Cetorelli & Linda S. Goldberg [Downloadable!]
  • 2008 Learning in the Credit Card Market
    by Sumit Agarwal & John C. Driscoll & Xavier Gabaix & David Laibson [Downloadable!]
  • 2008 Do Hedge Funds Profit From Mutual-Fund Distress?
    by Joseph Chen & Samuel Hanson & Harrison Hong & Jeremy C. Stein [Downloadable!]
  • 2008 Legal origin and financial development: new evidence for old claims? The creditor rights index revisited
    by Michael Graff [Downloadable!]
  • 2008 Financing Small and Medium Enterprises in Myanmar
    by Aung Kyaw [Downloadable!]
  • 2008 Consumer awareness and the use of payment media: evidence from young Finnish consumers
    by Hyytinen, Ari & Takalo, Tuomas [Downloadable!]
  • 2008 What is the Role of Legal Systems in Financial Intermediation? Theory and Evidence
    by Bottazzi, L. & Da Rin, M. & Hellmann, T. [Downloadable!]
  • 2008 The performance of socially responsible mutual funds: the role of fees and management companies
    by Javier Gil-Bazo & Pablo Ruiz-Verdu & Andre A. P. Santos [Downloadable!]
  • 2008 Moral Hazard, Collateral and Liquidity
    by Acharya, Viral V & Viswanathan, S [Downloadable!]
  • 2008 Redes e polarização urbana e financeira: uma exploração inical para o Brasil
    by Marco Crocco & Ricardo Machado Ruiz & Anderson Cavalcante [Downloadable!]
  • 2008 EU framework for safeguarding financial stability: Towards an analytical benchmark for assessing its effectiveness
    by María J. Nieto & Garry J. Schinasi [Downloadable!]
  • 2008 The sub-prime crisis and its impact on the Hungarian banking sector
    by Márton Nagy & Viktor E. Szabó [Downloadable!]
  • 2007 The optimal rating philosophy for the rating of SMEs
    by Rikkers, F. & Thibeault, A. [Downloadable!]
  • 2007 Financial Intermediaries, Markets, and Growth
    by Falko Fecht & Kevin X.D. Huang & Antoine Martin [Downloadable!]
  • 2007 Financial reforms in China and India: A comparative analysis
    by Wendy Dobson [Downloadable!]
  • 2007 To each according to her luck and power: Optimal corporate governance and compensation policy in a dynamic world
    by Thomas H. Noe & Michael J. Rebello [Downloadable!]
  • 2007 Mutual Funds and Segregated Funds: A Comparison
    by Palombizio, Ennio A. [Downloadable!]
  • 2007 Concentration, Competition, Efficiency and Profitability of the Turkish Banking Sector in the Post-Crises Period
    by Abbasoğlu, Osman Furkan & Aysan, Ahmet Faruk & Gunes, Ali [Downloadable!]
  • 2007 Market Disciplining Role of Crisis on the Restructuring of the Turkish Banking Sector
    by Aysan, Ahmet Faruk & Ceyhan, Sanli Pinar [Downloadable!]
  • 2007 The New Information Age & the Stock Market Growth Puzzle
    by Kamat, Manoj & Kamat, Manasvi [Downloadable!]
  • 2007 Optimal Portfolio Liquidation for CARA Investors
    by Schied, Alexander & Schöneborn, Torsten [Downloadable!]
  • 2007 An Empirical Analysis of Asset-Backed Securitization
    by Vink, Dennis [Downloadable!]
  • 2007 Strategic Bankruptcy with accountable and judicial risks
    by Chopard, Bertrand & Langlais, Eric [Downloadable!]
  • 2007 The tail risks of FX return distributions: a comparison of the returns associated with limit orders and market orders
    by Cotter, John & Dowd, Kevin [Downloadable!]
  • 2007 Flaw in the fund skill/luck test method of Cuthbertson et al
    by Nuttall, John [Downloadable!]
  • 2007 Traditional financing and distant trades during modernization process of financial industry: a case of Yamaguchi prefecture in the 1870s
    by Yasuo Takatsuki [Downloadable!]
  • 2007 Financial markets in Iceland
    by Peter Tulip [Downloadable!]
  • 2007 Investor Protection and Interest Group Politics
    by Lucian A. Bebchuk & Zvika Neeman [Downloadable!]
  • 2007 Governance, Issuance Restrictions, And Competition In Payment Card Networks
    by Robert S. Pindyck [Downloadable!]
  • 2007 Managerial Ownership Dynamics and Firm Value
    by Rüdiger Fahlenbrach & René M. Stulz [Downloadable!]
  • 2007 Dynamic order submission strategies with competition between a dealer market and a crossing network
    by Hans Degryse & Mark Van Achter & Gunther Wuyts [Downloadable!]
  • 2007 The performance of credit rating systems in the assessment of collateral used in Eurosystem monetary policy operations
    by François Coppens & Fernando Gonzáles & Gerhard Winkler [Downloadable!]
  • 2007 I servizi di investimento e la gestione dei conflitti di interesse in Spagna
    by Gianni DEMICHELIS & Daniela VANDONE [Downloadable!]
  • 2007 Rimesse e relazioni bancarie: da un bisogno elementare a servizi più articolati lungo il ciclo vitale
    by Luisa ANDERLONI [Downloadable!]
  • 2007 Assessing the Competitiveness of International Financial Services in Particular Locations: A Survey of Methods and Perspectives
    by George von Furstenberg [Downloadable!]
  • 2007 Dependence on External Finance by Manufacturing Sector: Examining the Measure and its Properties
    by George von Furstenberg & Ulf von Kalckreuth [Downloadable!]
  • 2007 Capital Adequacy Regime in India: An Overview
    by Mandira Sarma & Yuko Nikaido [Downloadable!]
  • 2007 How do Rating Agencies Score in Predicting Firm Performance
    by Gunter Löffler & Peter N. Posch [Downloadable!]
  • 2007 Aspects, Models and Measures for Assessing the Competitiveness of International Financial Services in a Particular Location
    by George M. von Furstenberg [Downloadable!]
  • 2007 Bank supervision Russian style: Evidence of conflicts between micro- and macroprudential concerns
    by Claeys, Sophie & Schoors, Koen [Downloadable!]
  • 2007 Bank behaviour with access to credit risk transfer markets
    by Goderis, Benedikt & Marsh, Ian & Vall Castello , Judit & Wagner, Wolf [Downloadable!]
  • 2007 French banks in Hong Kong (1860s-1950s): Challengers to British banks?
    by Hubert BONIN (GREThA) [Downloadable!]
  • 2007 French banks in Hong Kong (1860s-1950s): Challengers to British banks?
    by Hubert BONIN (GREThA-GRES) [Downloadable!]
  • 2007 Volatility, Financial Development and the Natural Resource Curse
    by Frederick van der Ploeg & Steven Poelhekke [Downloadable!]
  • 2007 The reaction by industry insiders to M&As in the European financial industry
    by Campa, Jose M. & Hernando, Ignacio [Downloadable!]
  • 2007 The Effects of the Bank-Internal Ratings on the Loan Maturity
    by Nataliya Fedorenko & Dorothea Schäfer & Oleksandr Talavera [Downloadable!]
  • 2007 Weak & Strong Financial Fragility
    by J.L. Geluk & L. de Haan & C.G. de Vries [Downloadable!]
  • 2007 Volatility, Financial Development and the Natural Resource Curse
    by Poelhekke, Steven & van der Ploeg, Frederick [Downloadable!]
  • 2007 International Financial Integration through Equity Markets: Which Firms from Which Countries Go Global?
    by Claessens, Stijn & Schmukler, Sergio [Downloadable!]
  • 2007 Stakeholders, transactional environments and conflict systems (mapping on why the founding charter compact becomes the mainstay of corporate governance)
    by Rodolfo Apreda [Downloadable!]
  • 2007 The rise of corporate governance brokers and how they trade in asymmetric information
    by Rodolfo Apreda [Downloadable!]
  • 2007 Bank profitability and taxation
    by Ugo Albertazzi & Leonardo Gambacorta [Downloadable!]
  • 2007 The reaction by industry insiders to M&As in the European financial industry
    by José M. Campa & Ignacio Hernando [Downloadable!]
  • 2007 Rediscounting Under Aggregate Risk with Moral Hazard
    by James T. E. Chapman & Antoine Martin [Downloadable!]
  • 2007 Governance of Financial Supervisors and its Effects - a Stocktaking Exercise
    by Marc Quintyn
  • 2007 Interbank Exposures: An Empirical Examination of Contagion Risk in the Belgian Banking System
    by Hans Degryse & Grégory Nguyen [Downloadable!]
  • 2007 Finanzmarktentwicklung, Immobilienpreise und Konsum
    by Christian Dreger & Jiri Slacalek [Downloadable!]
  • 2007 Rating beeinflusst die Laufzeit von Unternehmenskrediten
    by Nataliya Fedorenko & Dorothea Schäfer & Oleksandr Talavera [Downloadable!]
  • 2007 Recentrage stratégique et politique de financement:le cas des firmes cotées en Europe (1987-2003)
    by Jean-Étienne Palard
  • 2007 Dependence on External Finance by Manufacturing Sector: Examining the Measure and its Properties
    by George M. von Furstenberg & Ulf von Kalckreuth [Downloadable!]
  • 2007 What drives the growth in FX activity? Interpreting the 2007 triennial survey
    by Gabriele Galati & Alexandra Heath [Downloadable!]
  • 2007 Newservices in a new economy: the role of venture capital in a knowledge based society
    by Radu Musetescu [Downloadable!]
  • 2006 Success breeds success locally : a tale of incubator firms
    by Inci, Eren [Downloadable!]
  • 2006 Dependence on external finance: an inherent industry characteristic?
    by von Furstenberg, George M. & von Kalckreuth, Ulf [Downloadable!]
  • 2006 The choice of banking firm: Are the interest rate a significant criteria?
    by Antoni Garrido Torres & Pere Arqué Castells [Downloadable!]
  • 2006 The Cost Structure Of Microfinance Institutions In Eastern Europe And Central Asia
    by Valentina Hartarska & Steven B. Caudill & Daniel M. Gropper [Downloadable!]
  • 2006 Building an Honest Microfinance Organization: Embezzlement and the Optimality of Rigid Repayment Schedules and Joint Liability
    by Doh-Shin Jeon & Domenico Menicucci [Downloadable!]
  • 2006 Financial constraints on new firms: looking for regional disparities
    by Jean Bonnet (CREM - CNRS) & Sylvie Cieply (CREM - CNRS) & Marcus Dejardin (University of Namur - CREW) [Downloadable!]
  • 2006 Market Discipline, Information Processing, and Corporate Governance
    by Martin Hellwig [Downloadable!]
  • 2006 Entrepreneurship in Early-Modern Europe (1450 - 1750): An Exploration of Some Unfashionable Themes in Economic History
    by John H. Munro [Downloadable!]
  • 2006 Solvency II : Avancées des travaux
    by Benjamin Lorent [Downloadable!]
  • 2006 Stratégies d'investissement en actions et fonds à capital garanti
    by Roland Gillet & Robert Goffin & Isabelle Nagot & Ariane Szafarz [Downloadable!]
  • 2006 Bank Profitability and Taxation
    by Ugo Albertazzi & Leonardo Gambacorta [Downloadable!]
  • 2006 Highs and Lows: A Behavioral and Technical Analysis
    by Bruce Mizrach & Susan Weerts [Downloadable!]
  • 2006 Does SIZE Matter? Liquidity Provision by the Nasdaq Anonymous Trading Facility
    by Bruce Mizrach [Downloadable!]
  • 2006 Central Counterparties
    by Thorsten Koeppl & Cyril Monnet [Downloadable!]
  • 2006 Financial sector output and employment in Hong Kong and New York City
    by He, Dong & Yong, Ivy & Lim , Peter [Downloadable!]
  • 2006 Coordination & cooperation in financial regulation: Do regulators comply with banking culture?
    by Carretta, Alessandro & Farina, Vincenzo & Schwizer, Paola [Downloadable!]
  • 2006 Finance and growth in a small open emerging market
    by Law, Siong Hook & Azman-Saini, W.N.W. & Smith, Peter [Downloadable!]
  • 2006 The Effects of Volatility on Growth and Financial Development through Capital Market Imperfections
    by Aysan, Ahmet Faruk [Downloadable!]
  • 2006 Conflicts of Interest in Financial Services: Taxonomy and Mechanisms for Regulatory Control
    by Lazen, Vicente & Eguiluz, Cristian [Downloadable!]
  • 2006 Implied correlation from VaR
    by Cotter, John & Longin, Francois [Downloadable!]
  • 2006 Does Collateral Help Mitigate Adverse Selection ? A Cross-Country Analysis
    by Weill, Laurent & Godlewski, Christophe [Downloadable!]
  • 2006 Mutual fund flows’ performance reaction: does convexity apply to small markets?
    by Carlos F. Alves & Victor Mendes [Downloadable!]
  • 2006 Are mutual fund investors in jail?
    by Carlos F. Alves & Victor Mendes [Downloadable!]
  • 2006 Risk in Dynamic Arbitrage: Price Effects of Convergence Trading
    by Péter Kondor [Downloadable!]
  • 2006 How Risk Averse are Fund Managers? Evidence from Irish Mutual Funds
    by Thomas J. Flavin & [Downloadable!]
  • 2006 Does Collateral Help Mitigate Adverse Selection? A Cross-Country Analysis
    by Laurent Weill & Christophe J. Godlewski [Downloadable!]
  • 2006 Myths and Truths: The «Law and Finance Theory» Revisited
    by Michael Graff [Downloadable!]
  • 2006 Pension Investments in Employer Stock
    by William E. Even & David A. Macpherson [Downloadable!]
  • 2006 Dynamic Contracting for Development Aid Projects. Mechanism Design and High Performance Computation
    by Rashid, Salim & Shorish, Jamsheed & Sobh, Nahil [Downloadable!]
  • 2006 La elección de entidad bancaria: Factores determinantes
    by Antoni Garrido Torres & Pere Arqué Castells [Downloadable!]
  • 2006 GHICA - Risk Analysis with GH Distributions and Independent Components
    by Ying Chen & Wolfgang Härdle & Vladimir Spokoiny [Downloadable!]
  • 2006 On the Appropriateness of Inappropriate VaR Models
    by Wolfgang Härdle & Zdenek Hlavka & Gerhard Stahl [Downloadable!]
  • 2006 City Size and Financial Development
    by Becker, Bo [Downloadable!]
  • 2006 Ten Years of Misleading Information - Investment Advice in Printed Media
    by Lidén, Erik R. & Rosenberg, Markus [Downloadable!]
  • 2006 Does Subsidising the Cost of Capital Help the Poorest? An Analysis of Saving Opportunities in Group Lending
    by Kumar Aniket [Downloadable!]
  • 2006 Integración y consolidación en el sistema financiero europeo
    by Campa, Jose M. & Hernando, Ignacio [Downloadable!]
  • 2006 Indicator and boundaries of financial stability
    by Jan Willem van den End [Downloadable!]
  • 2006 Corporate social responsibility: domestic and international private equity institutional investment
    by Cumming, Douglas & Johan, Sofia [Downloadable!]
  • 2006 Institutional Weakness and Stock Price Volatility
    by Hale, Galina B & Razin, Assaf & Tong, Hui [Downloadable!]
  • 2006 Optimal Asset Allocation and Risk Shifting in Money Management
    by Basak, Suleyman & Pavlova, Anna & Shapiro, Alex [Downloadable!]
  • 2006 Optimum Taxation of Life Annuities
    by Johann K. Brunner & Susanne Pech [Downloadable!]
  • 2006 What's in a name and when does it matter? The hot and cold market impacts on underpricing of certification, reputation and conflicts of interest in venture capital backed Korean IPOs
    by Alan Hughes & Jaeho Lee [Downloadable!]
  • 2006 Banks, remittances and financial deepening in receiving countries. A model
    by Enrique Alberola & Rodrigo César Salvado [Downloadable!]
  • 2006 Determinantes das decisões locacionais da atividade financeira [Determinants of financial sector location decisions]
    by Michel Alexandre & Gilberto Tadeu Lima Otaviano Canuto & Otaviano Canuto [Downloadable!]
  • 2006 Innovation And Finance: The Theoretical Links
    by Emanuele Deligia [Downloadable!]
  • 2006 Interbank Contagion in the Dutch Banking Sector: A Sensitivity Analysis
    by Iman van Lelyveld & Franka Liedorp [Downloadable!]
  • 2006 Model Dependency of the Digital Option Replication – Replication under an Incomplete Model (in English)
    by Tomáš Tichý [Downloadable!]
  • 2006 México, integración y transición vs. crisis y regulación. Las alternativas financieras para un crecimiento estable
    by Rionda Ramírez, Jorge Isauro [Downloadable!]
  • 2005 Time series properties of a rating system based on financial ratios
    by Krüger, Ulrich & Stötzel, Martin & Trück, Stefan [Downloadable!]
  • 2005 Measurement matters – Input price proxies and bank efficiency in Germany
    by Koetter, Michael [Downloadable!]
  • 2005 Consumption, wealth and business cycles : why is Germany different?
    by Hamburg, Britta & Hoffmann, Mathias & Keller, Joachim [Downloadable!]
  • 2005 Financial intermediaries, markets and growth
    by Fecht, Falko & Huang, Kevin & Martin, Antoine [Downloadable!]
  • 2005 Common Structures of Asset-Backed Securities and Their Risks
    by Tarun Sabarwal [Downloadable!]
  • 2005 What’s Common to Relationship Banking and Relationship Investing? Reflections within the Contractual Theory of the Firm
    by Doris Neuberger [Downloadable!]
  • 2005 What’s Common to Relationship Banking and Relationship Investing? Reflections within the Contractual Theory of the Firm
    by Doris Neuberger [Downloadable!]
  • 2005 A Catering Theory of Analyst Bias
    by Richard Kum-yew Lai [Downloadable!]
  • 2005 Central counterparty clearing: constructing a framework for evaluation of risks and benefits
    by Kirsi Ripatti [Downloadable!]
  • 2005 An Analysis of the Profitability, Risk and Growth Indicators of Banks Operating In Malta
    by Silvio John Camilleri [Downloadable!]
  • 2005 INDIAN VENTURE CAPITALISTS (VCs) INVESTMENT EVALUATION CRITERIA
    by Asim Mishra [Downloadable!]
  • 2005 What’s Common to Relationship Banking and Relationship Investing? Reflections within the Contractual Theory of the Firm
    by Doris Neuberger [Downloadable!]
  • 2005 Privileged Interfirm/Bank Relationships in Central Europe: Trigger or Trap for Corporate Governance?
    by Gerhard Fink & Peter R. Haiss & Lucjan T. Orlowski & Dominick Salvatore [Downloadable!]
  • 2005 Business cycle effects on Portfolio Credit Risk: scenario generation through Dynamic Factor analysis
    by rea cipollini & giuseppe missaglia [Downloadable!]
  • 2005 Question de causalité entre développement réel et développement financier : Une notion encore embarrassée
    by Hamdi KHALFAOUI [Downloadable!]
  • 2005 Knowledge, Technology Adoption and Financial Innovation
    by Ana Fernandes [Downloadable!]
  • 2005 The Role of Industry, Geography and Firm Heterogeneity in Credit Risk Diversification
    by M. Hashem Pesaran & Til Schuermann & Björn-Jakob Treutler [Downloadable!]
  • 2005 Guess what: It's the Settlements!
    by Thorsten Koeppl & Cyril Monnet [Downloadable!]
  • 2005 Banking regulation towards advisory: the “culture compliance” of banks and supervisory authorities
    by Carretta, Alessandro & Farina, Vincenzo & Schwizer, Paola [Downloadable!]
  • 2005 The Financial System of the EU 25
    by Allen, Franklin & Laura, Bartiloro & Oskar, Kowalewski [Downloadable!]
  • 2005 Financial Structure Change and Banking Income: a Canada-U.S. Comparison
    by Christian Calmès & Ying Liu [Downloadable!]
  • 2005 Is Financial Globalization Beneficial?
    by Frederic Mishkin [Downloadable!]
  • 2005 The U.S. Constitution and Monetary Powers: An Analysis of the 1787 Constitutional Convention and Constitutional Transformation of the Nation's Monetary System Emerged
    by Farley Grubb [Downloadable!]
  • 2005 Socially Responsible Investment in Japanese Pensions
    by Henry Hongbo Jin & Olivia S. Mitchell & John Piggott [Downloadable!]
  • 2005 How Much Do Banks Use Credit Derivatives to Reduce Risk?
    by Bernadette A. Minton & René Stulz & Rohan Williamson [Downloadable!]
  • 2005 Global Business Cycles and Credit Risk
    by M. Hashem Pesaran & Til Schuermann & Björn-Jakob Treutler [Downloadable!]
  • 2005 Asset Fire Sales (and Purchases) in Equity Markets
    by Joshua D. Coval & Erik Stafford [Downloadable!]
  • 2005 Liquidity risk in securities settlement
    by Johan Devriese & Janet Mitchell [Downloadable!]
  • 2005 Financial intermediation theory and implications for the sources of value in structured finance markets
    by Janet Mitchell [Downloadable!]
  • 2005 Law and Finance: Common-law and Civil-law Countries Compared
    by Michael Graff [Downloadable!]
  • 2005 Financial Supervision Fragmentation and Central Bank Independence: The Two Sides of the Same Coin?
    by Andreas Freytag & Donato Masciandaro [Downloadable!]
  • 2005 El Valor De Las Recomendaciones De Consenso De Los Analistas Financieros En El Mercado De Capitales Español
    by Juan Carlos Gómez Sala & Germán López Espinosa [Downloadable!]
  • 2005 Portfolio Value at Risk Based on Independent Components Analysis
    by Ying Chen & Wolfgang Härdle & Vladimir Spokoiny [Downloadable!]
  • 2005 Choice of the substitution currency in Russia: How to explain the dollar's dominance?
    by Dorbec, Anna [Downloadable!]
  • 2005 Bank supervision Russian style: Rules versus enforcement and tacit objectives
    by Claeys, Sophie & Lanine, Gleb & Schoors, Koen [Downloadable!]
  • 2005 Financial Reform, Institutional Interdependency, and Supervisory Failure in the Post-Crisis Korea
    by Hong-Bum Kim & Chung Lee [Downloadable!]
  • 2005 Times-To-Default:Life Cycle, Global and Industry Cycle Impact
    by Fabien Couderc & Olivier Renault [Downloadable!]
  • 2005 Understanding Default Risk Through Nonparametric Intensity Estimation
    by Fabien Couderc [Downloadable!]
  • 2005 Financial Constraints on New Firms: Looking for Regional Disparities
    by Jean Bonnet & Marcus Dejardin & Sylvie Cieply [Downloadable!]
  • 2005 Critical Levels of Debt?
    by Lenno Uusküla & Peeter Luikmel & Jana Kask [Downloadable!]
  • 2005 Public good issues in TARGET - natural monopoly, scale economies, network effects and cost allocation
    by Wilko Bolt & David Humphrey [Downloadable!]
  • 2005 Explaining cross-border large-value payment flows - evidence from TARGET and EURO 1 data
    by Simonetta Rosati & Stefania Secola [Downloadable!]
  • 2005 Why do financial systems differ? History matters
    by Cyril Monnet & Erwan Quintin [Downloadable!]
  • 2005 Finance and Economic Development in Korea
    by Yung Chul Park & Wonho Song & Yunjong Wang [Downloadable!]
  • 2005 Payment Instruments as Perceived by Consumers - a Public Survey
    by Nicole Jonker [Downloadable!]
  • 2005 Public Good Aspects of TARGET: Natural Monopoly, Scale Economies, and Cost Allocation
    by Wilko Bolt & David B. Humphrey [Downloadable!]
  • 2005 Informed Lending and Security Design
    by Inderst, Roman & Mueller, Holger M [Downloadable!]
  • 2005 Insider Trading in Credit Derivatives
    by Acharya, Viral V & Johnson, Tim [Downloadable!]
  • 2005 Liquidity Risk in Securities Settlement
    by Devriese, Johan & Mitchell, Janet [Downloadable!]
  • 2005 Is There a Diversification Discount in Financial Conglomerates?
    by Laeven, Luc & Levine, Ross [Downloadable!]
  • 2005 Endowment Versus Finance: A Wooden Barrel Theory of International Trade
    by Ju, Jiandong & Wei, Shang-Jin [Downloadable!]
  • 2005 Offsetting the Incentives: Risk Shifting and Benefits of Benchmarking in Money Management
    by Basak, Suleyman & Pavlova, Anna & Shapiro, Alex [Downloadable!]
  • 2005 Conflicts of Interest in Sell-Side Research and the Moderating Role of Institutional Investors
    by Ljungqvist, Alexander P & Marston, Felicia & Starks, Laura T & Wei, Kelsey D. & Yan, Hong [Downloadable!]
  • 2005 Do Risk Premia Protect from Banking Crises?
    by Gersbach, Hans & Wenzelburger, Jan [Downloadable!]
  • 2005 The Choice of Seasoned-Equity Selling Mechanism: Theory and Evidence
    by Eckbo, B Espen & Norli, Øyvind [Downloadable!]
  • 2005 Liquidity Risk, Leverage and Long-Run IPO Returns
    by Eckbo, B Espen & Norli, Øyvind [Downloadable!]
  • 2005 Banks, Financial Markets and Growth
    by Luca Deidda & Bassam Fattouh [Downloadable!]
  • 2005 Collateral and Risk Sharing in group lending: evidence from an urban microcredit program
    by Maurice Kugler & Rossella Oppes [Downloadable!]
  • 2005 Diversification and Ownership Concentration
    by Bruno Maria Parigi & Loriana Pelizzon [Downloadable!]
  • 2005 Global Business Cycles and Credit Risk
    by M. Hashem Pesaran & Til Schuermann & Björn-Jakob Treutler [Downloadable!]
  • 2005 Monitoring a Common Agent: Implications for Financial Contracting
    by Fahad Khalil & David Martimort & Bruno Maria Parigi [Downloadable!]
  • 2005 Consumption, Wealth and Business Cycles in Germany
    by Britta Hamburg & Mathias Hoffmann & Joachim Keller [Downloadable!]
  • 2005 The Role of Industry, Geography and Firm Heterogeneity in Credit Risk Diversification
    by Pesaran, M.H. & Schuermann, T. & Treutler, B-J. [Downloadable!]
  • 2005 Will political liberalisation bring about financial development?
    by Yongfu Huang [Downloadable!]
  • 2005 Correlations and business cycles of credit risk: Evidence from bankruptcies in Germany
    by Rösch, Daniel [Downloadable!]
  • 2005 Brass Tacks - P's (if not Q's) - Poverty, Patents, Publicity and Price-Gouging
    by Steven P. Lanza & Arthur W. Wright [Downloadable!]
  • 2005 Distribuição espacial da atividade bancária no Brasil: dimensões e indicadores [Spatial distribution of banking activity in Brazil - dimensions and indicators]
    by Michel Alexandre & Gilberto Tadeu Lima & Otaviano Canuto [Downloadable!]
  • 2005 Marking to Market, Liquidity, and Financial Stability
    by Plantin, Guillaume & Sapra, Haresh & Shin, Hyun-Song [Downloadable!]
  • 2005 Financial constraints on new firms: Looking for regional disparities
    by Jean Bonnet & Sylvie Cieply & Marcus Dejardin
  • 2005 Foreign banks in emerging market economies: changing players, changing issues
    by Dietrich Domanski [Downloadable!]
  • 2005 Structured finance: complexity, risk and the use of ratings
    by Ingo Fender & Janet Mitchell [Downloadable!]
  • 2004 Integrated Financial Supervision in Germany
    by Schüler, Martin [Downloadable!]
  • 2004 The Contribution of Rapid Financial Development to Asymmetric Growth of Manufacturing Industries : Common Claims vs. Evidence for Poland
    by von Furstenberg, George M. [Downloadable!]
  • 2004 Strategic Freedom, Constraint, and Symmetry in One-period Markets with Cash and Credit Payment
    by Martin Shubik & David Eric Smith [Downloadable!]
  • 2004 Structure, Clearinghouses and Symmetry
    by Martin Shubik & David Eric Smith [Downloadable!]
  • 2004 Buying Fields and Marrying Daughters: An Empirical Analysis of Rosca Auctions in a South Indian Village
    by Stefan Klonner [Downloadable!]
  • 2004 World Income Components: Measuring And Exploiting International Risk Sharing Opportunities
    by Robert Shiller [Downloadable!]
  • 2004 Rational Expectations and Ambiguity: A Comment on Abel
    by Alexander Ludwig & Alexander Zimper [Downloadable!]
  • 2004 Investment Behavior under Ambiguity: The Case of Pessimistic Decision Makers
    by Alexander Ludwig & Alexander Zimper [Downloadable!]
  • 2004 Economies of scale and technological development in securities depository and settlement systems
    by Heiko Schmiedel & Markku Malkamäki & Juha Tarkka [Downloadable!]
  • 2004 Economies of scale and technological development in securities depository and settlement systems
    by Heiko Schmiedel & Markku Malkamäki & Juha Tarkka [Downloadable!]
  • 2004 Links between securities settlement systems: An oligopoly theoretic approach
    by Karlo Kauko [Downloadable!]
  • 2004 Trends in the Canadian Financial System
    by calmes christian [Downloadable!]
  • 2004 What Drives Default and Prepayment on Subprime Auto Loans?
    by Erik Heitfield & Tarun Sabarwal [Downloadable!]
  • 2004 A descriptive analysis of the Finnish treasury bond market 1991–1999
    by Matti Keloharju & Markku Malkamäki & Kjell G. Nyborg & Kristian Rydqvist [Downloadable!]
  • 2004 Caught On Tape: Predicting Institutional Ownership With Order Flow
    by John Campbell & Tarun Ramadorai & Tuomo Vuolteenaho [Downloadable!]
  • 2004 Equilibrium in financial markets with adverse selection
    by Tuomas Takalo & Otto Toivanen [Downloadable!]
  • 2004 Administración De La Contabilidad De Costos. Apuntes De Clases Y Ejercicios (Casos). Borrador
    by Fernando Rubio [Downloadable!]
  • 2004 LA ESTRATEGIA DE CITICORP EN CHILE. Capítulos 4 a 7
    by Fernando Rubio [Downloadable!]
  • 2004 LA ESTRATEGIA DE CITICORP EN CHILE. Capitulo 3. EL MERCADO FINANCIERO CHILENO
    by Fernando Rubio [Downloadable!]
  • 2004 La Estrategia Del Banco Bilbao Vizcaya Frente Al Banco Santander
    by Fernando Rubio [Downloadable!]
  • 2004 Conflicts of Interest, Information Provision and Competition in Banking
    by Patrick Bolton & Xavier Freixas & Joel Shapiro [Downloadable!]
  • 2004 General equilibrium and endogenous creation of asset markets
    by Faias, Marta [Downloadable!]
  • 2004 Experts Online: An Analysis of Trading Activity in a Public Internet Chat Room
    by Bruce Mizrach & Susan Weerts [Downloadable!]
  • 2004 Relationship Finance by Banks and Non-Bank Institutional Investors: A Review within the Theory of the Firm
    by Ettore Andreani & Doris Neuberger [Downloadable!]
  • 2004 What Does the Walrasian Auctioneer Know? Technology Adoption and Financial Innovation
    by Ana Fernandes [Downloadable!]
  • 2004 Financial Intermediation, markets, and growth
    by Falko Fecht & Kevin Huang [Downloadable!]
  • 2004 Leaning against the wind
    by Pierre-Olivier Weill [Downloadable!]
  • 2004 The Impact of Rating Changes in Australian Financial Markets
    by Adam Creighton & Luke Gower [Downloadable!]
  • 2004 Consumer Credit Delinquency And Bankruptcy Forecasting Using Advanced Econometrc Modeling
    by Ji, Tingting [Downloadable!]
  • 2004 Self-Interest on Mutual Fund Management: Evidence from the Portuguese Market
    by Carlos Alves & Victor Mendes [Downloadable!]
  • 2004 Contingent Loan Repayment in the Philippines
    by Marcel Fafchamps & Flore Gubert [Downloadable!]
  • 2004 Financial Systems and Economic Growth: An Evaluation Framework for Policy
    by Iris Claus & Veronica Jacobsen & Brock Jera [Downloadable!]
  • 2004 Why Are Most Funds Open-End? Competition and the Limits of Arbitrage
    by Jeremy C. Stein [Downloadable!]
  • 2004 Interbank exposures: an empirical examination of systemic risk in the Belgian banking system
    by Hans Degryse & Grégory Nguyen [Downloadable!]
  • 2004 Technological Revolutions and Financial Innovations
    by Yuan K. Chou [Downloadable!]
  • 2004 Rational Expectations and Ambiguity: A Comment on Abel
    by Alexander Ludwig & Alexander Zimper [Downloadable!]
  • 2004 Investment Behavior under Ambiguity: The Case of Pessimistic Decision Makers
    by Alexander Ludwig & Alexander Zimper [Downloadable!]
  • 2004 Financial intermediation and employment
    by Manoj Pant & Prabal Roy Chowdhury & Gurbachan Singh [Downloadable!]
  • 2004 Central counterparty clearing: constructing a framework for evaluation of risks and benefits
    by Ripatti, Kirsi [Downloadable!]
  • 2004 Less cash on the counter: Forecasting Finnish payment preferences
    by Jyrkönen , Hanna [Downloadable!]
  • 2004 Multihoming in the market for payment media: evidence from young Finnish consumers
    by Hyytinen, Ari & Takalo , Tuomas [Downloadable!]
  • 2004 Offsetting the Incentives: Risk Shifting and Benefits of Benchmarking in Money Management
    by Alex Shapiro & Suleyman Basak & Anna Pavlova [Downloadable!]
  • 2004 Non-Exclusive Contracts, Collateralized Trade, and a Theory of an Exchange
    by Yaron Leitner [Downloadable!]
  • 2004 Conflicts of Interest and Credible Information Provision by Specialized and One-Stop Banks
    by Joel Shapiro & Patrick Bolton & Xavier Freixas [Downloadable!]
  • 2004 Financial intermediaries, markets, and growth
    by Falko Fecht & Kevin Huang [Downloadable!]
  • 2004 Sources of Corporate Financing and Economic Crisis in Korea: A Micro-evidence
    by Youngjae LIM [Downloadable!]
  • 2004 Credit Constraints and Distress Sales in Rural India: An Econometric Analysis
    by D.Rajasekhar & Gagan & B.S
  • 2004 An analysis of systemic risk in alternative securities settlement architectures
    by Giulia Iori [Downloadable!]
  • 2004 Raising rival's costs in the securities settlement industry
    by Cornelia Holthausen & Jens Tapking [Downloadable!]
  • 2004 Guess what: it's the settlements!
    by Thorsten V. Koeppl & Cyril Monnet [Downloadable!]
  • 2004 Interbank Contagion in the Dutch Banking Sector
    by Iman van Lelyveld & Franka Liedorp [Downloadable!]
  • 2004 On the predictability of GDP data revisions in the Netherlands
    by Olivier Roodenburg [Downloadable!]
  • 2004 Central Bank Communication and Output Stabilization
    by Marco Hoeberichts & Mewael Tesfaselassie & Sylvester Eijffinger [Downloadable!]
  • 2004 Social Identity and Group Lending
    by Prabirendra Chatterjee & Sudipta Sarangi [Downloadable!]
  • 2004 Interbank exposures : an empirical examination of systemic risk in the Belgian banking system
    by Degryse, H.A. & Nguyen, G. [Downloadable!]
  • 2004 Active Financial Intermediation: Evidence on the Role of Organizational Specialization and Human Capital
    by Bottazzi, Laura & Da Rin, Marco & Hellmann, Thomas F [Downloadable!]
  • 2004 Financial Intermediation with Contingent Contracts and Macroeconomic Risks
    by Gersbach, Hans [Downloadable!]
  • 2004 Do Firms Want to Borrow More? Testing Credit Constraints Using a Directed Lending Program
    by Banerjee, Abhijit & Duflo, Esther [Downloadable!]
  • 2004 Can Venture Capital Funds Pick Winners? Evidence from Pre-IPO Survival Rates and Post-IPO Performance
    by Ber, Hedva & Yafeh, Yishay [Downloadable!]
  • 2004 Constitutions and Commitment: Evidence on the Relation Between Institutions and the Cost of Capital
    by Sussman, Nathan & Yafeh, Yishay [Downloadable!]
  • 2004 Informational Efficiency of Credit Default Swap and Stock Markets: The Impact of Credit Rating Announcements
    by Norden, Lars & Weber, Martin [Downloadable!]
  • 2004 The Integration of EU Banking Markets
    by Gual, Jordi [Downloadable!]
  • 2004 Do Rural Banks Matter? Evidence from the Indian Social Banking Experiment
    by Burgess, Robin & Pande, Rohini [Downloadable!]
  • 2004 Generational Accounting, Solidarity and Pension Losses
    by de Vries, Casper G & Teulings, Coen N [Downloadable!]
  • 2004 Strategic Financial Innovation in Segmented Markets
    by Rahi, Rohit & Zigrand, Jean-Pierre [Downloadable!]
  • 2004 Optimal Capital Allocation Using RAROC(tm) and EVA
    by Stoughton, Neal & Zechner, Josef [Downloadable!]
  • 2004 Knowledge, Technology Adoption And Financial Innovation
    by Ana Fernandes [Downloadable!]
  • 2004 CDO rating methodology: Some thoughts on model risk and its implications
    by Ingo Fender & John Kiff [Downloadable!]
  • 2004 Regulatory Changes and Financial Structure: The Case of Canada
    by Christian Calmès [Downloadable!]
  • 2004 European Monetary and Financial Integration: Evolution and Prospects
    by Jean-Paul Abraham & Alexandre Lamfalussy & Jean-Claude Trichet & Robert Raymond & Franco Bruni [Downloadable!]
  • 2004 Regulatory Changes and Financial Structure: The Case of Canada
    by Christian Calmès [Downloadable!]
  • 2004 The syndicated loan market
    by Blaise Gadanecz [Downloadable!]
  • 2003 Entry Costs, Intermediation, and Capital Flows
    by Ayse Imrohoroglu & Krishna B. Kumar [Downloadable!]
  • 2003 Savings Mobilization Role Of Nigerian Commercial Banks:An Analytical Policy Study
    by GODWIN CHUKWUDUM NWAOBI [Downloadable!]
  • 2003 Latin American Financial Development In Perspective
    by Alicia García Herrero & Javier Santillan Fraile & Sonsoles Gallego Herrero & Lucía Cuadro Sáez & Carlos Egea Martínez [Downloadable!]
  • 2003 Why Do Countries Develop More Financially Than Others? The Role Of The Central Bank And Banking Supervision
    by Lucía Cuadro Sáez & Sonsoles Gallego Herrero & Alicia García Herrero [Downloadable!]
  • 2003 Potential applications of structured commodity financing techniques for banks in developing countries
    by Lamon Rutten [Downloadable!]
  • 2003 Farmers and farmers’ associations in developing countries and their use of modern financial instruments
    by Lamon Rutten [Downloadable!]
  • 2003 Metrics for Comparing Credit Migration Matrices
    by Yusuf Jafry & Til Schuermann [Downloadable!]
  • 2003 Convergence of financial systems: Towards an evolutionary perspective
    by Werner Hölzl
  • 2003 Rising Inequality of Housing? Evidence from Segmented Housing Price Indices
    by Erling Røed Larsen and Dag Einar Sommervoll [Downloadable!]
  • 2003 Surveying Technology-Based Small Firms: A perspective from Belgium
    by Ant Bozkaya & Astrid Romain & Bruno Van Pottelsberghe [Downloadable!]
  • 2003 Financial Contracts and Occupational Choice
    by Alexander Karaivanov [Downloadable!]
  • 2003 The Present, Future and Imperfect of Financial Risk Management
    by Carol Alexandra [Downloadable!]
  • 2003 Bank-based versus Market-based Financial Systems: A Growth-theoretic Analysis
    by Shankha Chakraborty & Tridip Ray [Downloadable!]
  • 2003 Recent and Prospective Trends in Real Long-Term Interest Rates: Fiscal Policy and Other Drivers
    by Anne-Marie Brook [Downloadable!]
  • 2003 Sources of Funds and Investment Activities of Venture Capital Funds: Evidence from Germany, Israel, Japan and the UK
    by Colin Mayer & Koen Schoors & Yishay Yafeh [Downloadable!]
  • 2003 Risk Management, Capital Budgeting and Capital Structure Policy for Insurers and Reinsurers
    by Kenneth A. Froot [Downloadable!]
  • 2003 A Pedagogical Tool For Illustrating The Real Impact Of The Financial Sector
    by Yuan K. Chou [Downloadable!]
  • 2003 Distribution Dynamics in European Venture Capital
    by Michael Stolpe [Downloadable!]
  • 2003 Stock Recommendations in Swedish Printed Media: Leading or Misleading?
    by Lidén, Erik R. [Downloadable!]
  • 2003 Swedish Stock Recommendations: Information Content or Price Pressure?
    by Lidén, Erik R. [Downloadable!]
  • 2003 Equilibrium in financial markets with adverse selection
    by Takalo, Tuomas & Toivanen, Otto [Downloadable!]
  • 2003 Multiple Unit Auctions and Short Squeezes
    by Kjell G. Nyborg & Ilya A. Strebulaev [Downloadable!]
  • 2003 Empirical Analysis of Rosca Auctions in a South Indian Village
    by Stefan Klonner [Downloadable!]
  • 2003 Incentives to Corporate Governance Activism
    by Leech, Dennis [Downloadable!]
  • 2003 Finance and Economic Development in East Asia
    by Yung Chul Park & Wonho Song & Yunjong Wang [Downloadable!]
  • 2003 Strategic Freedom, Constraint, and Symmetry in One-period Markets with Cash and Credit Payment
    by Martin Shubik & Eric Smith [Downloadable!]
  • 2003 Structure, Clearinghouses and Symmetry
    by Martin Shubik & Eric Smith [Downloadable!]
  • 2003 The Optimal Capital Structure of an Economy
    by Gersbach, Hans [Downloadable!]
  • 2003 Financial Distress and Bank Restructuring of Small to Medium Size UK Companies
    by Franks, Julian R & Sussman, Oren [Downloadable!]
  • 2003 Learning and Syndication in Venture Capital Investments
    by Casamatta, Catherine & Haritchabalet, Carole [Downloadable!]
  • 2003 The Great Divide and Beyond - Financial Architecture in Transition
    by Berglöf, Erik & Bolton, Patrick [Downloadable!]
  • 2003 Macroeconomic Dynamics and Credit Risk: A Global Perspective
    by Til Schuermann & Bjoern-Jakob Treutler & Scott M. Weiner & M. Hashem Pesaran [Downloadable!]
  • 2003 The Genesis of Venture Capital - Lessons from the German Experience
    by Ralf Becker & Thomas Hellmann [Downloadable!]
  • 2003 How Important are Foreign Banks in the Financial Development of European Transition Countries?
    by Ilko Naaborg & Bert Scholtens & Jakob de Haan & Hanneke Bol & Ralph de Haas [Downloadable!]
  • 2003 Time, Risk, Precommitment, and Adverse Selection in Competitive Insurance Markets
    by Mark V. Pauly [Downloadable!]
  • 2003 Towards a Macro-Prudential Leading Indicators Framework for Monitoring Financial Vulnerability
    by Bhattacharyay, Biswa N. [Downloadable!]
  • 2003 Macroeconomic Dynamics and Credit Risk: A Global Perspective
    by Pesaran, M.H. & Schuermann, T. & Treutler, B-J. & Weiner, S.M. [Downloadable!]
  • 2003 Strategic Investor Behaviour and the Volume-Volatility Relation in Equity Markets
    by Randi Naes & Johannes A. Skjeltorp [Downloadable!]
  • 2003 Are credit ratings procyclical?
    by C. H. Furfine & Jeffery D. Amato [Downloadable!]
  • 2003 Banking Crises and Contagion: Empirical Evidence
    by Eric Santor [Downloadable!]
  • 2003 Monetary and Financial Thinking in Europe - Evidence from Four Decades of SUERF
    by Jean-Paul Abraham [Downloadable!]
  • 2003 The Theory of Financial Intermediation: An Essay On What It Does (Not) Explain
    by Bert Scholtens & Dick van Wensveen [Downloadable!]
  • 2003 Dividing gains between a client and her agent
    by Jianming Xia [Downloadable!]
  • 2003 Les investisseurs institutionnels et l'epargne retraite
    by Aurelie Boubel & Fabrice Pansard [Downloadable!]
  • 2002 Zur Rolle von Beteiligungskapitalgebern in ihren Portfoliounternehmen : Eine ökonometrische Analyse
    by Engel, Dirk [Downloadable!]
  • 2002 How Important Are Foreign Banks in European Transition Countries? A Comparative Analysis
    by Hanneke Bol & Jakob de Haan & Bert Scholtens & Ralph de Haas [Downloadable!]
  • 2002 Finance, law and growth during transition: a survey
    by Ralph de Haas [Downloadable!]
  • 2002 The Future of Stock Exchanges in Emerging Economies: Evolution and Prosepcts
    by Stijn Claessens & Daniela Klingebiel & Sergio L. Schmukler [Downloadable!]
  • 2002 Modeling Regional Interdependencies Using a Global Error-Correcting Macroeconometric Model
    by M. Hashem Pesaran & Til Schuermann & Scott M. Weiner [Downloadable!]
  • 2002 Finance Thy Growth: The Role of Occupational Choice By Ability-Heterogeneous Agents
    by Neville N. Jiang & Ping Wang & Haibin Wu [Downloadable!]
  • 2002 Operational Risk Management
    by Jacques Pezier [Downloadable!]
  • 2002 An Examination of Own Account Trading by Dual Traders in Future Markets
    by Chakravarity, Sugato & Li, Kai
  • 2002 Challenges in the Mexican Financial Sector
    by Marcos Bonturi [Downloadable!]
  • 2002 Using a 2-Sector Growth Model to Assess the Macroeconomic Consequences of Financial Liberalization
    by Yuan K. Chou & Martin S. Chin [Downloadable!]
  • 2002 Storia della banca in Romania - Parte Prima -
    by Aranldo Mauri & Claudia Gabriela Baicu [Downloadable!]
  • 2002 Professional Advice: The Theory of Reputational Cheap Talk
    by Marco Ottaviani & Peter Norman Sorensen [Downloadable!]
  • 2002 Financial Markets, Industrial Specialization and Comparative Advantage - Evidence from OECD Countries
    by Svaleryd, Helena & Vlachos, Jonas [Downloadable!]
  • 2002 A Note on the Pricing of Real Estate Index Linked Swaps
    by Björk, Tomas & Clapham, Eric [Downloadable!]
  • 2002 Links between securities settlement systems: An oligopoly theoretic approach
    by Kauko, Karlo [Downloadable!]
  • 2002 Economies of scale and technological development in securities depository and settlement systems
    by Schmiedel, Heiko & Malkamäki, Markku & Tarkka , Juha [Downloadable!]
  • 2002 Lender of last resort and the moral hazard problem
    by Niskanen , Mikko [Downloadable!]
  • 2002 A descriptive analysis of the Finnish treasury bond market 1991–1999
    by Keloharju, Matti & Malkamäki, Markku & Nyborg, Kjell G. & Rydqvist, Kristian [Downloadable!]
  • 2002 Technology, automation, and productivity of stock exchanges: International evidence
    by Hasan, Iftekhar & Malkamäki, Markku & Schmiedel, Heiko [Downloadable!]
  • 2002 The Actors and the Financial Affairs of the Northern Dimension
    by Riikka Ruotoistenmäki & Evgenia Babykina [Downloadable!]
  • 2002 Exporting and capital investment: On the strategic behavior of exporters
    by Campa, Jose M. & Shaver, J. Myles [Downloadable!]
  • 2002 On the Incentive Problems in Financial Conglomerates
    by Lóránth, Gyöngyi [Downloadable!]
  • 2002 International Evidence on Ethical Mutual Fund Performance and Investment Style
    by Bauer, Bob & Koedijk, Kees & Otten, Roger [Downloadable!]
  • 2002 Courts and Banks: Effects of Judicial Enforcement on Credit Markets
    by Bianco, Magda & Jappelli, Tullio & Pagano, Marco [Downloadable!]
  • 2002 Sources of Funds and Investment Activities of Venture Capital Funds: Evidence from Germany, Israel, Japan and the UK
    by Mayer, Colin & Schoors, Koen & Yafeh, Yishay [Downloadable!]
  • 2002 Explaining the Migration of Stocks from Exchanges in Emerging Economies to International Centres
    by Claessens, Stijn & Klingebiel, Daniela & Schmukler, Sergio [Downloadable!]
  • 2002 The Microstructure of Stock Markets
    by Biais, Bruno & Glosten, Larry & Spatt, Chester S [Downloadable!]
  • 2002 Stock Market Quality in the Prescence of a Traded Option
    by de Jong, Cyriel & Koedijk, Kees & Schnitzlein, Charles [Downloadable!]
  • 2002 Dealer Pricing of Consumer Credit
    by Bertola, Giuseppe & Hochguertel, Stefan & Koeniger, Winfried [Downloadable!]
  • 2002 How Do Bank Capital and Capital Adequacy Regulation Affect the Monetary Transmission Mechanism?
    by Tanaka, Misa [Downloadable!]
  • 2002 Financial Intermediation and the Creation of Macroeconomic Risks
    by Hans Gersbach [Downloadable!]
  • 2002 Bank relationships: effect on the availability and marginal cost of credit for firms in Argentina
    by Jorge M.Streb & Javier Bolzico & Pablo Druck & Alejandro Henke & José Rutman & Walter Sosa Escudero [Downloadable!]
  • 2002 Modelling Financial Instability: A Survey of the Literature
    by Alexandra Lai [Downloadable!]
  • 2002 research article : Credit contracting and bidding under wealth constraints
    by Charles E. Hyde & James A. Vercammen [Downloadable!]
  • 2002 Japan's Financial System: Its Perspective and the Authorities' Roles in Redesigning and Administering System
    by Baba, Naohiko & Hisada, Takamasa [Downloadable!]
  • 2002 La conformación del cooperativismo en Brasil: tendencias y desafíos en el Siglo XXI
    by Tania Cristina Teixeira & Amparo Soler Domingo [Downloadable!]
  • 2002 Reglas del juego y maneras de jugar: el caso del Banco Credicoop Cooperativo Limitado 1994-2000
    by Mirta Vuotto [Downloadable!]
  • 2001 A Theory of Mutual Funds: Optimal Fund Objectives and Industry Organization
    by Matthew I. Spiegel & Harry Mamaysky [Downloadable!]
  • 2001 Microfinance in Vietnam - A Survey of Schemes and Issues
    by Adam McCarty [Downloadable!]
  • 2001 Interbank Market Integration under Asymmetric Information
    by Xavier Freixas & Cornelia Holthausen [Downloadable!]
  • 2001 Finanzintermediaere - Groessennachteile und Spezialisierungsvorteile
    by Michael Breuer [Downloadable!]
  • 2001 An Examination of Own Account Trading by Dual Traders in Futures Markets
    by Chakravarty, Sugato & Li, Kai
  • 2001 Contributions of Financial Systems to Growth in OECD Countries
    by Michael Leahy & Sebastian Schich & Gert Wehinger & Florian Pelgrin & Thorsteinn Thorgeirsson [Downloadable!]
  • 2001 The Optimal Concentration of Creditors
    by Arturo Bris & Ivo Welch [Downloadable!]
  • 2001 La finance islamique: fondements, theorie et realite
    by Martens, A.
  • 2001 La finance islamique: fondements, theorie et realite
    by MARTENS, André [Downloadable!]
  • 2001 Human Capital, Financial Innovations and Growth: A Theoretical Approach
    by Chin, M.S. & Chou, Y.K. [Downloadable!]
  • 2001 Financial Innovations And Endogenous Growth
    by Chin, M.S. & Chou, Y.K. [Downloadable!]
  • 2001 The Strategy of Professional Forecasting
    by Marco Ottaviani & Peter Norman Sorensen [Downloadable!]
  • 2001 Sources of Funds and Investment Strategies of Venture Capital Funds: Evidence and Yishay Yafeh from Germany, Israel, Japan and the UK
    by Colin Mayer & Koen Schoors & Yishay Yafeh [Downloadable!]
  • 2001 Reputation and Interdealer Trading. A Microstructure Analysis of the Treasury Bond Market
    by Massa, Massimo & Simonov, Andrei [Downloadable!]
  • 2001 Hedging Housing Risk
    by Englund, Peter & Hwang, Min & Quigley, John M. [Downloadable!]
  • 2001 Diversification and Delegation in Firms
    by Cerasi, Vittoria & Daltung, Sonja [Downloadable!]
  • 2001 Financial Markets, the Pattern of Specialization and Comparative Advantage. Evidence from OECD countries
    by Vlachos, Jonas & Svaleryd, Helena [Downloadable!]
  • 2001 Stock exchange alliances, access fees and competition
    by Shy, Oz & Tarkka, Juha [Downloadable!]
  • 2001 Technological development and concentration of stock exchanges in Europe
    by Schmiedel, Heiko [Downloadable!]
  • 2001 The Economics of Lending with Joint Liability: Theory and Practice
    by Ghatak, M. & Guinnane, T.W.
  • 2001 Interbank Market Integration under Asymmetric Information
    by Freixas, X. & Holthausen, C.
  • 2001 Deposit Insurance and Moral Hazard: Does the Counterfactual Matter?
    by Gropp, R. & Vesala, J.
  • 2001 The Characteristics of Individual Analysts' Forecasts in Europe
    by Bolliger, G.
  • 2001 L'orientation vers le marche dans le secteur du Private Banking
    by Denis, J.M. & Graber, S.
  • 2001 Mean-Variance Portfolio Allocation with a Value at Risk Constraint
    by Sentana, E.
  • 2001 Gridlock Resolution in Interbank Payment Systems
    by Bech, M.L. & Soramaki, K.
  • 2001 Technological Development and Concentration of Stock Exchanges in Europe
    by Schmiedel, H.
  • 2001 The New Basel Accord: Some Potential Implications of the New Standards for Credit Risk
    by Jokivuolle, E. & Kauko, K.
  • 2001 Return-based style analysis with time-varying exposures
    by Swinkels, L. & Sluis, P.J. van der [Downloadable!]
  • 2001 Greek Banking at the Dawn of the New Millennium
    by Eichengreen, Barry & Gibson, Heather D [Downloadable!]
  • 2001 How Risky is Financial Liberalization in the Developing Countries?
    by Wyplosz, Charles [Downloadable!]
  • 2001 Exchange Rate Regimes: Some Lessons from Postwar Europe
    by Wyplosz, Charles [Downloadable!]
  • 2001 Financial Market Imperfections and Home Ownership: A Comparative Study
    by Chiuri, Maria Concetta & Jappelli, Tullio [Downloadable!]
  • 2001 Soft Budget Constraint Theories: From Centralization to the Market
    by Maskin, Eric & Xu, Cheng-Gang [Downloadable!]
  • 2001 Arbitrage with Inelastic Liquidity Demand and Financial Constraints
    by Attari, Mukarram & Mello, Antonio S [Downloadable!]
  • 2001 Delegated Monitors, Large and Small: The Development of Germany's Banking System, 1800-1914
    by Timothy Guinnane [Downloadable!]
  • 2001 The Dynamics of Deposit Insurance and the Consumption Trap
    by Hans Gersbach [Downloadable!]
  • 2001 Financial Fragility, Bubbles and Monetary Policy
    by Gerhard Illing [Downloadable!]
  • 2001 Modelling Regional Interdependencies Using a Global Error-Correcting Macroeconometric Model
    by Pesaran, M.H. & Weiner, S.M. [Downloadable!]
  • 2001 Financial Intermediation in a Model of Growth through Creative Destruction
    by Maria Fuensanta Morales [Downloadable!]
  • 2001 The Emergence and Persistence of the Anglo-Saxon and German Financial Systems
    by Sandeep Baliga & Ben Polak [Downloadable!]
  • 2001 Policy Responses to the Post-bubble Adjustments in Japan: A Tentative Review
    by Mori, Naruki & Shiratsuka, Shigenori & Taguchi, Hiroo [Downloadable!]
  • 2001 The Asset Price Bubble and Monetary Policy: Japan's Experience in the Late 1980s and the Lessons: Background Paper
    by Okina, Kunio & Shirakawa, Masaaki & Shiratsuka, Shigenori [Downloadable!]
  • 2001 The Offshore Services Industry in the Caribbean: A Conceptual and Sub-regional Analysis
    by Bardouille, Nand C. & Fortune, Morne [Downloadable!]
  • 2000 Designing Institutions for Financial Stability: Regulation and Supervision by Objective for the Euro Area
    by Giorgio di Giorgio & Carmine Di Noia [Downloadable!]
  • 2000 How Well Does the Market Allocate Entrepreneurs?
    by Baochun Peng [Downloadable!]
  • 2000 How Much Does Trade and Financial Contagion Contribute to Currency Crises? The Case of Korea
    by Duo Qin [Downloadable!]
  • 2000 An Analysis of Own Account Trading by Dual Traders in Futures Markets: A Bayesian Approach
    by Chakravarty, Sugato & Li, Kai
  • 2000 Banks, Short Term Debt and Financial Crises: Theory, Policy Implications and Applications
    by Douglas W. Diamond & Raghuram G. Rajan [Downloadable!]
  • 2000 Does Distance Still Matter? The Information Revolution in Small Business Lending
    by Mitchell A. Petersen & Raghuram G. Rajan [Downloadable!]
  • 2000 Les déterminants des faillites bancaires dans les pays en développement: le cas des pays de l'Union économique et monétaire Ouest-africaine (UEMOA)
    by POWO FOSSO, Bruno [Downloadable!]
  • 2000 Does Financial Development Lead to Trade Liberalization?
    by Svaleryd, Helena & Vlachos, Jonas [Downloadable!]
  • 2000 Productivity Growth, Efficiency and Outsourcing in Manufacturing and Service Industries
    by Heshmati, Almas
  • 2000 Are Expansions Cost Effective for Stock Exchanges? A Global Perspective
    by Hasan , Iftekhar & Malkamäki, Markku [Downloadable!]
  • 2000 Management and Resolution of Banking Crises. Lessons from the Republic of Korea and Mexico
    by De Luna-Martinez, J.
  • 2000 Systematic Differences in the Determinants of Foreign Currency Sovereign Ratings by Rating Agency
    by Trevino, L. & Thomas, S.
  • 2000 Winter Blues: Seasonal Affective Disorder (SAD), the January Effect and the Stock Market
    by Kamstra, M.
  • 2000 Pourquoi l'hypothese de marche aleatoire en theorie financiere ? Les raisons historiques d'un choix ethique
    by Jovanovic, F.
  • 2000 Equilibrium in a Reinsurance Market with Short Sate Constraints
    by Bernis, G.
  • 2000 An Empirical Investigation in Credit Spread Indices
    by Prigent, J.L. & Renault, O. & Scaillet, O.
  • 2000 La modelisation des donnees haute frequence
    by Kamionka, T.
  • 2000 Les fonds de placement: definitions et mesures de la performance des fonds de placement sur le marche suisse
    by Zancanella, S.
  • 2000 Financial Institutions, Financial Contagion, and Financial Crises
    by Huang, H. & Xu, C.
  • 2000 Foreign Banks in Economic Development: Experiences from the Regulated Financial System of South Korea
    by Muller, R.
  • 2000 Cross-Border Performance in European Banking
    by Hasan, I. & Lozano-Vivas, A. & Pstor, J.T.
  • 2000 Consumption and Uncertain Access to the Asset Market
    by Rudanko, L.
  • 2000 Are Expansions Cost Effective for Stock Exchanges? A Global Perspective
    by Hasan, I. & Malkamaki, M.
  • 2000 Re-engineering Payment Systems for the E-world
    by Leinonen, H.
  • 2000 Enhancing Bank Transparency: a Re-Assessment
    by Hyytinen, A. & Takalo, T.
  • 2000 An Incentive Problem in the Dynamic Theory of Banking
    by Ernst-Ludwig VON THADDEN [Downloadable!]
  • 2000 The importance of financial structure for monetary transmission in Europe
    by G.J. de Bondt & A.C.J. Stokman [Downloadable!]
  • 2000 Evaluating style analysis
    by Roon.F.A. de, & Nijman, T.E. & Horst, J.R. ter [Downloadable!]
  • 2000 An Empirical Investigation in Credit Spread Indices
    by Prigent, J.-L. & Renault, O. & Scaillet, O. [Downloadable!]
  • 2000 Collateral Vs. Project Screening: A Model Of Lazy Banks
    by Manove, Michael & Padilla, Atilano Jorge & Pagano, Marco [Downloadable!]
  • 2000 The Role of Social Capital In Financial Development
    by Guiso, Luigi & Sapienza, Paola & Zingales, Luigi [Downloadable!]
  • 2000 Optimal Debt Contracts and Moral Hazard Along the Business Cycle
    by Reichlin, Pietro & Siconolfi, Paolo [Downloadable!]
  • 2000 Chile Después del Peso: Viviendo con el Dólar
    by Edgardo Barandiarán [Downloadable!]
  • 2000 Forecasting Extreme Financial Risk: A Critical Analysis of Practical Methods for the Japanese Market
    by Danielsson, Jon & Morimoto, Yuji [Downloadable!]
  • 2000 Model Risk and Its Control
    by Kato, Toshiyasu & Yoshiba, Toshinao [Downloadable!]
  • 1999 Financial Markets And The Allocation Of Capital
    by Jeffrey A. Wurgler [Downloadable!]
  • 1999 Professional Advice
    by Marco Ottaviani & Peter Sorensen [Downloadable!]
  • 1999 Post-Independence India: A Case of Finance-Led Industrialization?
    by Clive Bell & Peter L. Rousseau [Downloadable!]
  • 1999 How Much Did Excess Debt Contribute to the 1997 Currency Crisis in Korea?
    by Duo Qin [Downloadable!]
  • 1999 A Theory of Bank Capital
    by Douglas W. Diamond & Raghuram G. Rajan [Downloadable!]
  • 1999 Liquidity Risk, Liquidity Creation and Financial Fragility: A Theory of Banking
    by Douglas W. Diamond & Raghuram G. Rajan [Downloadable!]
  • 1999 Debt-Funded Bidding Under Credit Market and Auction Information Asymmetries: Private Values & First-Price Sealed Bids
    by Hyde, C.E. & Vercammen, J.A.
  • 1999 Group Lending and Its Implications in Credit Markets for Poor People
    by Woerz, Julia [Downloadable!]
  • 1999 Markets for Risk and Openness to Trade: How are they Related?
    by Svaleryd, Helena & Vlachos, Jonas [Downloadable!]
  • 1999 Are there Economies of Scale in Stock Exchange Activities?
    by Malkamäki, Markku [Downloadable!]
  • 1999 Evaluating Real Estate Valuation Systems
    by Shiller, R.J. & Weiss, A.N.
  • 1999 The New International Financial Architecture: Do the Multilateral Financial Institutions Need Remodeling or Rebuilding?
    by Bird, G. & Joyce, J.P.
  • 1999 Trading Floors as Separating Devices
    by Bose, G.
  • 1999 Delegated Portfolio Management, No Churning, and Relative Performance-Based Incentive/Sorting Schemes
    by Bhattacharya, S.
  • 1999 Assurance chomage des emprunteurs
    by Chiappori, P.A. & Pinquet, J.
  • 1999 Mutual Fund Returns and Market Microstructure
    by Carthart, M.M. & Kaniel, R. & Musto, D.K. & Reed, A.
  • 1999 Les banques francaises de reseaux n'ont pas de problemes majeurs d'inefficacite productive: une application de la technique d'enveloppement des donnees (DEA)
    by Chauveau, T. & Couppey, J.
  • 1999 Les banques francaises de reseaux n'ont pas de problemes majeurs d'inefficacite productive: une application de la technique d'enveloppement des donnees (DEA)
    by Chauveau, T. & Couppey, J.
  • 1999 The Welfare Economics of Insurance Contracts that pay off by Reducing Price
    by Nyman, J.A.
  • 1999 The Welfare Economics of Insurance Contracts that pay off by Reducing Price
    by Nyman, J.A.
  • 1999 Infinite-Horizon Optimal Hedging Under Cone Constraints
    by Huang, K.X.
  • 1999 Japanese Management Views on Overseas Exchange Listings: Survey Results
    by Yamori, N. & Baba, T., T.
  • 1999 Asymmetries of Information in Centralized Oder-Driven Markets
    by Boccard, N. & Calcagno, R.
  • 1999 Asymmetries of Information in Centralized Oder-Driven Markets
    by Boccard, N. & Calcagno, R.
  • 1999 A Multicriterion System fro Credit Risk Rating
    by Khalil, J. & Martel, J.M. & Jutras, P.
  • 1999 Comment piloter la fonctions marketing dans les entreprises? Implications pour le secteur du private banking
    by Denis, J.-E.
  • 1999 Execution Costs of Institutional Equity Orders
    by Jones, C.M. & Lipson, M.L.
  • 1999 Execution Costs of Institutional Equity Orders
    by Jones, C.M. & Lipson, M.L.
  • 1999 Do Depositors Punish Banks for "Bad"Behavior?: Examining Market Discipline in Argentina, Chile, and Mexico
    by Soledad, M.S. & Schmukler, S.
  • 1999 Cycle demographique, possibilite d'investissement dans un ctif speculatif et concurrence entre fronds de pension
    by Artus, P.
  • 1999 Forecasting the Electronification of Payments with Learning Curves: The Case of Finland
    by Snellamn, J. & Vesala, J.
  • 1999 Are There Economies of Scale in Stock Exchange Activities?
    by Malkamaki, M.
  • 1999 The Effects of Transmission Uncertainty on the Flexibility-Cridibility Tradeoff in Monetary Policy
    by Senegas, M.A. & Vilmunen, J.
  • 1999 Bank Relationship and Small-Business Closures During the Finnish Recession of the 1990s
    by Kinnunen, H. & Vihriala, V.
  • 1999 Restructuring and the Role of International Financial Institutions: A Korean View
    by Yunjong Wang [Downloadable!]
  • 1999 Exchange Rate Policies in Korea: Has Exchange Rate Volatility Increased After the Crisis?
    by Yung Chul Park & Chae-Shick Chung & Yunjong Wang [Downloadable!]
  • 1999 Institutional environment and monetary transmission in the euro area: a cross-country view (in Dutch)
    by M.M.G. Fase & G.J. de Bondt [Downloadable!]
  • 1999 The significance of the European capital market for the financing of the corporate sector
    by L. de Haan & H.M. Prast
  • 1999 Perspectieven voor een Europese onderhandse kapitaalmarkt
    by O.J.P. Lenior [Downloadable!]
  • 1999 Deregulation, Integration and Market Structure in European Banking
    by Gual, Jordi [Downloadable!]
  • 1999 Firm Performance, Financial Institutions and Corporate Governance in the Netherlands
    by Chirinko, Bob & Ees, Hans van & Garretsen, Harry & Sterken, Elmer [Downloadable!]
  • 1999 Bank Behaviour and the Channel of Monetary Policy in Japan
    by Agung, J. & Ford, J.L.
  • 1999 The Regulation of Central Securities Depositories and the Linkages between CSDs and Large-Value Payment Systems
    by Freedman, C. [Downloadable!]
  • 1999 Bounding the benefits of stochastic auditing: The case of risk-neutral agents
    by Christopher M. Snyder [Downloadable!]
  • 1999 Optimal Design of Bank Bailouts: The Case of Transition Economies
    by Philippe Aghion, Patrick Bolton & Steven Fries
  • 1998 A Model of Financial Fragility
    by Roger Lagunoff & Stacey L. Schreft [Downloadable!]
  • 1998 How Do Firms Choose Their Lenders? An Empirical Investigation
    by Miguel Cantillo & Julian Wright [Downloadable!]
  • 1998 Moral Hazard and Non-Exclusive Contracts
    by Alberto Bisin & Danilo Guaitoli [Downloadable!]
  • 1998 Adaptive Model Selection Using Empirical Complexities
    by Gábor Lugosi & Andrew B. Nobel [Downloadable!]
  • 1998 Combining Bond Rating Forecasts Using Logit
    by Kamstra, M. & Kennedy, P. & Suan, T.-K.
  • 1998 Institutional Investors and Equity Prices
    by Paul A. Gompers & Andrew Metrick [Downloadable!]
  • 1998 Environmental Risk: Should Banks Be Liable?
    by GOBERT, Karine & POITEVIN, Michel [Downloadable!]
  • 1998 Environmental Risks : Should Banks Be Liable?
    by GOBERT, Karine & POITEVIN, Michel [Downloadable!]
  • 1998 Financing Competitive Asset Bids When Information is Asymmetric: The Role of Collateral as a Signal
    by Hyde, C. & Vercammen, J.
  • 1998 The Economics of Lending with Joint Liability: Theory and Practice
    by Maitreesh Ghatak & Timothy W. Guinnane
  • 1998 What's Wrong with Romanian Rural Finance? Understanding the Determinants of Private Farmers' Access to Credit
    by Junior R Davis & Angela Gaburici & Paul G. Hare [Downloadable!]
  • 1998 Forecasting the Size Distribution of Financial Plants in Swedish Municipalities
    by Brännäs, Kurt [Downloadable!]
  • 1998 Payments in Kind
    by Ellingsen, Tore [Downloadable!]
  • 1998 The Economics of Lending with Joint Liability: Theory and Practice
    by Ghatak, M. & Guinnane, T.W.
  • 1998 Financial Services Trade, Capital Flow, and Financial Stability
    by Kono, M. & Schknecht, L.
  • 1998 Combining Bond Rating Forecasts Using Logit
    by Kamstra, M. & Kennedy, P. & Suan, T.-K.
  • 1998 The Cost of Institutional Equity Trades: An Overview
    by Keim, D.B. & Madhavan, A.
  • 1998 Competitive Imitation Asset Specificity and Efficiency
    by Battistini, A.
  • 1998 Managed Commodity Funds
    by Edwards, F.R. & Liew, J.
  • 1998 Some Evidence on Non-Profit Maximizing Behavior in Credit Markets
    by Bures, R.
  • 1998 Collateral vs. Project Screening: a Model of Lazy Banks
    by Manove, M. & Padilla, A.J. & Pagano, M.
  • 1998 Intraday Liquidity Needs in a Modern Interbank Payment System. A Simulation Approach
    by Koponen, R. & Soramaki, K.
  • 1998 Technological Transformation and the Nonbank Competition in a Model of Retail Banking Oligopoly
    by Vesala, J.
  • 1998 Improving Bankin Supervision
    by Mayes, D.G.
  • 1998 The Market for Electronic Cash Cards
    by Tarkka, J. & Shy, O.
  • 1998 On the Problems of Home Country Control
    by Mayes, D. & Vesala, J.
  • 1998 Delivery Networks and Pricing Behaviour in Banking : An Empirical Investigation Using Finnish Data
    by Vesala, J.
  • 1998 Interbank Funds Transfer Systems: Liquidity Needs, Counterparty Risks and Collateral
    by Leinonen, H.
  • 1998 Asymetrie d'information et contrats bancaires: l'interet des "prets-tests"
    by Kast, R. & Molkhou, V.
  • 1998 Financial Sector Reforms and Interest Rate Liberalization: The Kenya Experience
    by Ngugi, R.W. & Kabubo, J.W.
  • 1998 The Economics of Lending with Joint Liability: Theory and Practice
    by Maitreesh Ghatak & Timothy W. Guinnane
  • 1998 The future of finance : results of a European survey
    by Gerrits, Han & Kuiper, Arnoud & Passchier, Ricardo [Downloadable!]
  • 1998 Style analysis and performance evaluation of Dutch mutual funds
    by Horst, J.R. ter & Nijman, T.E. & Roon, F.A. de [Downloadable!]
  • 1998 A Note on the Convergence to Competitive Equilibria in Economies with Moral Hazard
    by Bisin, Alberto & Gottardi, P. & Guaitoli, D. [Downloadable!]
  • 1998 Moral Hazard and Non-Exclusive Contracts
    by Bisin, A. & Guaitoli, D. [Downloadable!]
  • 1998 Relative Performance Equilibrium in Financial Markets
    by Palomino, Frédéric [Downloadable!]
  • 1998 Moral Hazard and Non-Exclusive Contracts
    by Bisin, Alberto & Guaitoli, Danilo [Downloadable!]
  • 1998 Banking (Conservatively) With Optimists
    by Manove, Michael & Padilla, Atilano Jorge [Downloadable!]
  • 1998 Venture Capital: A Case for Investment Promotion
    by Keuschnigg, Christian [Downloadable!]
  • 1998 Finance and Innovation System or Chaos
    by Jesper Lindgaard Christensen & Ina Drejer [Downloadable!]
  • 1998 The evolution of debt and equity markets in economic development
    by Bruce D. Smith & John H. Boyd [Downloadable!]
  • 1998 Tamanho, dimensão e concentração do sistema bancário no contexto de alta e baixa inflação no Brasil
    by Luiz Fernando Rodrigues de Paula
  • 1998 Language and Contract
    by Oren Sussman
  • 1998 Financial Institutions in Transition: Banks, Markets, and the Allocation of Risks in an Economy
    by Martin Hellwig
  • 1998 Financial Intermediation Versus Stock Markets in a Dynamic Intertemporal Model
    by Sudipto Bhattacharya & Paolo Fulghieri & Riccardo Rovelli
  • 1997 The Loan Size as a Commitment Device
    by Khalil, F & Parigi, B-M
  • 1997 Agency costs in the process of development
    by Acemoglu, Daron & Zilibotti, Fabrizio [Downloadable!]
  • 1997 China's Non-Bank Financial Institutions. Turst and Investment Companies
    by Kumar, A. & Lardy, N. & Albrecht, W. & Chuppe, T. & Selwyn, S. & Perttunen, P. & Zhang, T.
  • 1997 The Loan Size as a Commitment Device
    by Khalil, F & Parigi, B-M
  • 1997 Financial Reform and Economic Development in Vietnam
    by Dinh, V.D.
  • 1997 La relation entre le taux des credits et le cout des ressources bancaires. Modelisation et estimation sur donnees individuelles de banques
    by Baumel, L. & Sevestre, P.
  • 1997 The influence of financial markets and corporate governance on R&D policy of Dutch companies
    by Groot, Tom L. C. M. [Downloadable!]
  • 1997 Adverse Selection of Investment Projects and the Business Cycle
    by Reichlin, Pietro & Siconolfi, Paolo [Downloadable!]
  • 1997 Enterprises in Transition: Macroeconomic Influences on Enterprise Decision-making and Performance
    by Buiter, Willem H & Lago, Ricardo & Rey, Hélène [Downloadable!]
  • 1997 Long-Term and Short-Term Labour Contracts Versus Long-Term and Short-Term Financial Contracts
    by Tribo, J.
  • 1996 Peer Grouping in An Adverse Selection Model
    by Beatriz Armendariz de Aghion & Christian Gollier [Downloadable!]
  • 1996 Money and Debt in the Structure of Payments
    by Edward J. Green [Downloadable!]
  • 1996 Credit Subsidies, Financial Repression, and the High Inflation/Low Income Trap
    by Samson, M.
  • 1996 High Real Interest rates, Guarantor Risk, and Bank Recapitalizations
    by Brock, P.L.
  • 1996 The Wild Ride of the Ruble
    by Easterly, W. & Wolf, C.H.
  • 1996 The Term-Structure of Investment and the Banks' Insurance Function
    by Ernst-Ludwig VON THADDEN
  • 1996 Optimal Liquidity Provision and Dynamic Incentive Compatibility
    by Ernst-Ludwig VON THADDEN
  • 1996 Household and Intrahousehold Impact of the Grameen Bank and Similar Targeted Credit Programs in Bangladesh
    by Pitt, M.M. & Khandker, S.R.
  • 1996 High Real Interest rates, Guarantor Risk, and Bank Recapitalizations
    by Brock, P.L.
  • 1996 The Barings Collapse: Explanations and Implications
    by Hogan, W.P.
  • 1996 Agency Costs in the Process of Development
    by Acemoglu, D & Zilibotti, F
  • 1996 L'organisation industrielle du secteur de l'assurance de biens et de risques divers
    by Harchaoui, M.T.
  • 1996 The Impact of Securisation on Banks' Capital: An Economic Analysis
    by Wolfe, S.
  • 1996 From Financial Information to Strategic Groups: A Self-Organizing Neural Network Approach
    by Serrano-Cinca, C. [Downloadable!]
  • 1996 Incentives for Managing Accounting Information: Property-Liability Insurer Stock-Charter Conversions
    by Mayers, D. & Smith, Jr.C.W.
  • 1996 Companies d'assurance informees et equilibre sur le marche de l'assurance
    by Fagart, M.C.
  • 1996 Bank Financing Strategies, Diversification by Certificates of Deposit, and Securitization
    by Mokrane, M.
  • 1996 The Design of Bank Loan Contracts, Collateral, and renegotiation
    by Gorton, G. & Khan, J.
  • 1996 Bank Markups, Horizontalism and the Significance of Banks's Liquidity Preference: An Empirical Assessment
    by Deriet, M. & Seccareccia, M.
  • 1996 Sharing Default Information as a Borrower Discipline Device
    by Padilla, A.J. & Pagano, M.
  • 1996 Background UNcertainty and the Demand for Insurance Against Insurable Risks
    by Guiso, L. & Jappelli, T.
  • 1996 Why Banks Have a Future: An Economic Rationale
    by Rajan, R.G.
  • 1996 Monitoring, Liquidation, and Security Design
    by Repullo, R. & Suarez, J.
  • 1996 Are Banks Risk-Averse? A Note on the Timing of Operations in the Interbank Market
    by Angelini, P.
  • 1996 Les credits nouveaux mis en place par les banques AFB de 1978 a 1992: une evaluation des montants et des durees initiales
    by Baumel, L.
  • 1996 L'influence des montants emis sur le taux des certificats de depots
    by Rosenwald, F.
  • 1996 Le marche des certificats de depots: ecarts de taux a l'emission : l'influence de la relation emetteurs-souscripteurs initaux
    by martin, C. & Rosenwald, F.
  • 1996 Les strategies de "Stop Loss" : Theorie et application au contrat notionnel du MATIF
    by Bensaid, B. & De Bandt, O.
  • 1996 Credit Institutions' Price Policies and Type of Customer: Impact on the Money Transmission Mechanism
    by Frias, M.C.M. & Belmonte, S.G.
  • 1996 Convergence of Financial Systems and Regulatory Policy Chanllenges in Europe and in the United States
    by Dziobek, C & Garrett, J
  • 1996 Was Prometheus Unbound by Chance? Risk, Diversification and Growth
    by Acemoglu, Daron & Zilibotti, Fabrizio [Downloadable!]
  • 1996 Agency Costs in the Process of Development
    by Acemoglu, Daron & Zilibotti, Fabrizio [Downloadable!]
  • 1996 Costly Acquisition of Information with Incomplete Markets
    by Marta Laitenberger
  • 1996 Credit Institutions' Price Policies and Type of Customer: Impact on the Money Transmission Mechanism
    by M. Cruz Manzano Frías & Sofía Galmés Belmonte
  • 1996 The Electronic Purse: An Overview of Recent Developments and Policy Issues
    by Stuber, Gerald [Downloadable!]
  • 1995 The Paradox of Liquidity
    by Stewart C. Myers & Raghuram G. Rajan [Downloadable!]
  • 1995 Diversification, Liquidity, and Supervision for Small Financial Institutions: Nineteenth-Century German Credit Cooperatives
    by Guinnane, T.W.
  • 1995 Grameen Bank: Performance and Sustainability
    by Khandker, S.R. & Khalily, B. & Khan, Z.
  • 1995 Household Credit and the Monetary Transmission Mechanism
    by Li, V.E.
  • 1995 Patrimoine et actifs financiers en 1992
    by Arrondel, L.
  • 1995 Risk-Taking Incentives and the Cost of Insurance Company Failure
    by Hall, B.J.
  • 1995 Collusion in a Debt Contract
    by Brundin, I.
  • 1995 The Political Economy of Branching Restrictions and Deposit Insurance: A Model of Monopolistic Competition Among Small and Large Banks
    by Economides, N. & Hubbard, R.G. & Palia, D.
  • 1995 Bank Loan Commitment and the Lending Channel of Monetary Policy
    by Morgan, D.P.
  • 1995 Banks versus Bonds: A Simple Theory of Comparative Financial Institutions
    by Sandeep Baliga & Ben Polak [Downloadable!]
  • 1995 Innovation, 'Bank' Monitoring and Endogenous Financial Development
    by de la Fuente, Angel & Marín Vigueras, José Maria [Downloadable!]
  • 1995 Innovation, 'Bank' Monitoring and Endogenous Development
    by de la Fuente, A. & Marin, J.M.
  • 1994 The Financing of Industry, 1970-89: An International Comparison
    by Corbett, Jennifer & Jenkinson, Tim [Downloadable!]
  • 1991 Financial Reform in Eastern Europe: Progress With the Wrong Model
    by Corbett, Jennifer & Mayer, Colin [Downloadable!]
  • 1991 The Currency Reform as the Last Stage of Economic and Monetary Union: Some Policy Questions
    by Giovannini, Alberto [Downloadable!]
  • 1991 Financial Innovations and the Distributional Effects of Interest Rate Changes in the UK
    by Philip Arestis & Peter Howells [Downloadable!]
  • 1991 Financial Innovations and the Distributional Effects of Interest Rate Changes in the UK
    by Philip Arestis & Peter Howells [Downloadable!]
  • 1989 Layoffs and Lemons
    by Robert Gibbons & Lawrence Katz [Downloadable!]
  • Macroeconomic Dynamics and Credit Risk: A Global Perspective
    by M. Hashem Pesaran & Til Schuermann & Björn-Jakob Treutler & Scott M. Weiner & April [Downloadable!]
  • On infinite-horizon minimum-cost hedging under cone constraints
    by Kevin Huang [Downloadable!]
  • Dominant Investors and Strategic Transparency
    by Enrico C. Perotti & Ernst-Ludwig von Thadden [Downloadable!]
  • A comparative study of sourcing strategies
    by Niels Peter Mols & Poul H. Andersen & David Birks & Per Nikolaj D. Bukh [Downloadable!]
  • Micro-Credit and Group Lending: The Collateral Effect
    by Lykke Eg Andersen & Osvaldo Nina [Downloadable!]

    This page was last updated on 2008-7-20.


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