Research classified by Journal of Economic Literature (JEL) codes
Top JEL
/ G: Financial Economics
/ / G2: Financial Institutions and Services
/ / / G20: General
2014
- Dario Fauceglia, 2014, "Credit constraints and firm imports of capital goods: Evidence from middle- and low-income countries," International Economics, CEPII research center, issue 140, pages 1-18.
- Rosario Crinò & Laura Ogliari, 2014, "Financial Frictions, Product Quality, and International Trade," Working Papers, CEMFI, number wp2014_1403, Jun.
- Ciprian-Dan COSTEA, 2014, "The Liquidity Risk Impact On The Entities Activating On Capital Markets," Management Intercultural, Romanian Foundation for Business Intelligence, Editorial Department, issue 31, pages 97-103, November.
- Ana-Maria GEAMÃNU, 2014, "Tax Havens In The Global Financial Centers Index," SEA - Practical Application of Science, Romanian Foundation for Business Intelligence, Editorial Department, issue 3, pages 204-215, April.
- Dumitru-Cristian OANEA, 2014, "Financial Intermediaries’ Activity On Romanian Capital Market," SEA - Practical Application of Science, Romanian Foundation for Business Intelligence, Editorial Department, issue 5, pages 489-496, November.
- Ciprian-Dan COSTEA, 2014, "Fair Value Implications On Romanian Capital Market," SEA - Practical Application of Science, Romanian Foundation for Business Intelligence, Editorial Department, issue 6, pages 43-48, December.
- Tomas Adam & Sona Benecka & Jakub Mateju, 2014, "Risk Aversion, Financial Stress and Their Non-Linear Impact on Exchange Rates," Working Papers, Czech National Bank, Research and Statistics Department, number 2014/07, Sep.
- Ignacio Lozano & Alexander Guar�n, 2014, "Banking Fragility in Colombia: An Empirical Analysis Based on Balance Sheets," Borradores de Economia, Banco de la Republica, number 11145, Mar.
- Carlos Le�n & Jhonatan P�rez & Luc Renneboog, 2014, "A multi-layer network of the sovereign securities market," Borradores de Economia, Banco de la Republica, number 12036, Aug.
- Carlos Le�n & Ron J. Berndsen & Luc Renneboog, 2014, "Financial Stability and Interacting Networks of Financial Institutions and Market Infrastructures," Borradores de Economia, Banco de la Republica, number 12254, Oct.
- Ignacio Lozano & Alexander Guar�n, 2014, "Banking fragility in Colombia: An empirical analysis based on balance sheets," Revista ESPE - Ensayos Sobre Política Económica, Banco de la República, volume 32, issue 75, pages 48-63, DOI: 10.1016/j.espe.2014.10.001.
- Jenny-Paola Lis-Gutiérrez & Sebasti�n Mac�as Rojas, 2014, "Análisis Departamental de las Captaciones en el Sistema Financiero Colombiano," Estudios Económicos SIC, Superintendencia de Industria y Comercio, number 11884, May.
- Jenny-Paola Lis-Gutiérrez & Sebasti�n Mac�as Rojas, 2014, "Análisis departamental de las captaciones bancarias en el sistema financiero colombiano," Estudios Económicos SIC, Superintendencia de Industria y Comercio, number 11906, May.
- Mario Bergara & Leandro Zipitr�a, 2014, "Sobre el gobierno corporativo de los organismos multilaterales de crédito," Documentos de Discusión FLAR, Fondo Latino Americano de Reservas - FLAR, number 11304, Apr.
- Mattana, Elena & Panetti, Ettore, 2014, "A dynamic quantitative macroeconomic model of bank runs," LIDAM Discussion Papers CORE, Université catholique de Louvain, Center for Operations Research and Econometrics (CORE), number 2014068, Sep.
- Hau, Harald & Steinbrecher, Johannes & Kampkötter, Patrick & Efing, Matthias, 2014, "Incentive Pay and Bank Risk-Taking:Evidence from Austrian, German, and Swiss Banks," CEPR Discussion Papers, C.E.P.R. Discussion Papers, number 10217, Oct.
- Stambaugh, Robert F. & Pástor, Luboš & Taylor, Lucian, 2014, "Do Funds Make More When They Trade More?," CEPR Discussion Papers, C.E.P.R. Discussion Papers, number 10261, Nov.
- Merrouche, Ouarda & Mariathasan, Mike & Werger, Charlotte, 2014, "Bailouts And Moral Hazard: How Implicit Government Guarantees Affect Financial Stability," CEPR Discussion Papers, C.E.P.R. Discussion Papers, number 10311, Dec.
- Gabaix, Xavier & Maggiori, Matteo, 2014, "International Liquidity and Exchange Rate Dynamics," CEPR Discussion Papers, C.E.P.R. Discussion Papers, number 9842, Feb.
- Miller, Marcus, 2014, "Macroeconomics after the crisis ? hedgehog or fox?," CEPR Discussion Papers, C.E.P.R. Discussion Papers, number 9974, May.
- Martin T. Bohl & Jeanne Diesteldorf & Christian A. Salm & Bernd Wilfling, 2014, "Spot Market Volatility and Futures Trading: The Pitfalls of Using a Dummy Variable Approach," CQE Working Papers, Center for Quantitative Economics (CQE), University of Muenster, number 3514, Oct.
- Serena Frazzoni & Maria Luisa Mancusi & Zeno Rotondi & Maurizio Sobrero & Andrea Vezzulli, 2014, "Innovation and export in SMEs: the role of relationship banking," DISCE - Working Papers del Dipartimento di Economia e Finanza, Università Cattolica del Sacro Cuore, Dipartimenti e Istituti di Scienze Economiche (DISCE), number def018, Nov.
- Anaïs PERILLEUX & Ariane SZAFARZ, 2014, "Female Managers in Hybrid Organizations: Evidence from Financial Cooperatives in Senegal," LIDAM Discussion Papers IRES, Université catholique de Louvain, Institut de Recherches Economiques et Sociales (IRES), number 2014018, Oct.
- Pennacchi, George & Vermaelen, Theo & Wolff, Christian C. P., 2014, "Contingent Capital: The Case of COERCs," Journal of Financial and Quantitative Analysis, Cambridge University Press, volume 49, issue 3, pages 541-574, June.
- Ýlker SAKINÇ & Merve GÜLEN, 2014, "The Performance Comparison of the Participation Banks Acting in Turkey via Grey Relations Analysis Method," Journal of Economic and Social Thought, EconSciences Journals, volume 1, issue 1, pages 3-14, December.
- Avouyi-Dovi, Sanvi (ed.), 2014, "Le système financier indien à l'épreuve de la crise," Economics Thesis from University Paris Dauphine, Paris Dauphine University, number 123456789/14810.
- Philipp König & David Pothier, 2014, "Asymmetric Information and Roll-over Risk," Discussion Papers of DIW Berlin, DIW Berlin, German Institute for Economic Research, number 1364.
- Dorothea Schäfer & Susan Steiner, 2014, "Financial Development and Employment: Evidence from Transition Countries," Discussion Papers of DIW Berlin, DIW Berlin, German Institute for Economic Research, number 1390.
- T.A. Bhavani & N.R. Bhanumurthy, 2014, "Financial Access - Measurement and Determinants: A Case Study of Unorganised Manufacturing Enterprises in India," Indian Economic Review, Department of Economics, Delhi School of Economics, volume 49, issue 1, pages 85-108.
- Guillermo Acuña & Jean P. Sepulveda & Marcos Vergara, 2014, "Ownership Concentration of Family and Non-Family Firms and the Relationship to Performance," Serie Working Papers, Universidad del Desarrollo, School of Business and Economics, number 03, Jan, revised Dec 2014.
- Jungsoo Park & Yung Chul Park, 2014, "Has Financial Liberalization Improved Economic Efficiency in the Republic of Korea? Evidence from Firm-Level and Industry-Level Data," Finance Working Papers, East Asian Bureau of Economic Research, number 24163, May.
- Jungsoo Park & Yung Chul Park, 2014, "Has Financial Liberalization Improved Economic Efficiency in the Republic of Korea? Evidence from Firm-Level and Industry-Level Data," Microeconomics Working Papers, East Asian Bureau of Economic Research, number 24163, May.
- Perignon , Christophe & Yeung , Stanley & Hurlin, Christophe & Iseli, Grégoire, 2014, "The Collateral Risk of ETFs," HEC Research Papers Series, HEC Paris, number 1050, Aug.
- Scheicher, Martin & Vuillemey, Guillaume & Duffie, Darrell, 2014, "Central clearing and collateral demand," Working Paper Series, European Central Bank, number 1638, Feb.
- Tommasino, Pietro & Cappelletti, Giuseppe & Guazzarotti, Giovanni, 2014, "Tax deferral and mutual fund inflows - evidence from a quasi-natural experiment," Working Paper Series, European Central Bank, number 1664, Apr.
- Berk, Jonathan B. & van Binsbergen, Jules H., 2014, "Measuring Skill in the Mutual Fund Industry," Research Papers, Stanford University, Graduate School of Business, number 3131, Nov.
- Duffie, Darrell, 2014, "Resolution of Failing Central Counterparties," Research Papers, Stanford University, Graduate School of Business, number 3256, Dec.
- Barber, Brad M. & Yasuda, Ayako, 2014, "Interim Fund Performand and Fundraising in Private Equity," Working Papers, University of Pennsylvania, Wharton School, Weiss Center, number 14-18, Oct.
- Gu, Xian & Kowalewski, Oskar, 2014, "Law and Structure of the Capital Markets," Working Papers, University of Pennsylvania, Wharton School, Weiss Center, number 14-20, Dec.
- El Mehdi Ferrouhi, 2014, "Moroccan Banks Analysis Using CAMEL Model," International Journal of Economics and Financial Issues, Econjournals, volume 4, issue 3, pages 622-627.
- Rosenfeld, Claire M., 2014, "The effect of banking relationships on the future of financially distressed firms," Journal of Corporate Finance, Elsevier, volume 25, issue C, pages 403-418, DOI: 10.1016/j.jcorpfin.2014.01.003.
- Berkowitz, Daniel & Hoekstra, Mark & Schoors, Koen, 2014, "Bank privatization, finance, and growth," Journal of Development Economics, Elsevier, volume 110, issue C, pages 93-106, DOI: 10.1016/j.jdeveco.2014.05.005.
- Beck, Thorsten & Colciago, Andrea & Pfajfar, Damjan, 2014, "The role of financial intermediaries in monetary policy transmission," Journal of Economic Dynamics and Control, Elsevier, volume 43, issue C, pages 1-11, DOI: 10.1016/j.jedc.2014.04.010.
- Meisenzahl, Ralf R., 2014, "Verifying the state of financing constraints: Evidence from U.S. business credit contracts," Journal of Economic Dynamics and Control, Elsevier, volume 43, issue C, pages 58-77, DOI: 10.1016/j.jedc.2014.03.006.
- Al Janabi, Mazin A.M., 2014, "Optimal and investable portfolios: An empirical analysis with scenario optimization algorithms under crisis market prospects," Economic Modelling, Elsevier, volume 40, issue C, pages 369-381, DOI: 10.1016/j.econmod.2013.11.021.
- Chung, Chune Young & Wang, Kainan, 2014, "Do institutional investors monitor management? Evidence from the relationship between institutional ownership and capital structure," The North American Journal of Economics and Finance, Elsevier, volume 30, issue C, pages 203-233, DOI: 10.1016/j.najef.2014.10.001.
- Defever, Fabrice & Suedekum, Jens, 2014, "Financial liberalization and the relationship-specificity of exports," Economics Letters, Elsevier, volume 122, issue 3, pages 375-379, DOI: 10.1016/j.econlet.2013.12.034.
- Hauck, Achim & Neyer, Ulrike, 2014, "Disagreement between rating agencies and bond opacity: A theoretical perspective," Economics Letters, Elsevier, volume 123, issue 1, pages 82-85, DOI: 10.1016/j.econlet.2014.01.027.
- Dungey, Mardi & Gajurel, Dinesh, 2014, "Equity market contagion during the global financial crisis: Evidence from the world's eight largest economies," Economic Systems, Elsevier, volume 38, issue 2, pages 161-177, DOI: 10.1016/j.ecosys.2013.10.003.
- Dong, Gang Nathan, 2014, "Excessive financial services CEO pay and financial crisis: Evidence from calibration estimation," Journal of Empirical Finance, Elsevier, volume 27, issue C, pages 75-96, DOI: 10.1016/j.jempfin.2013.11.001.
- Hur, Jungshik & Pettengill, Glenn & Singh, Vivek, 2014, "Market states and the risk-based explanation of the size premium," Journal of Empirical Finance, Elsevier, volume 28, issue C, pages 139-150, DOI: 10.1016/j.jempfin.2014.06.006.
- Marcelin, Isaac & Mathur, Ike, 2014, "Financial development, institutions and banks," International Review of Financial Analysis, Elsevier, volume 31, issue C, pages 25-33, DOI: 10.1016/j.irfa.2013.09.003.
- Avino, Davide & Nneji, Ogonna, 2014, "Are CDS spreads predictable? An analysis of linear and non-linear forecasting models," International Review of Financial Analysis, Elsevier, volume 34, issue C, pages 262-274, DOI: 10.1016/j.irfa.2014.04.001.
- Clare, Andrew & Motson, Nick & Sapuric, Svetlana & Todorovic, Natasa, 2014, "What impact does a change of fund manager have on mutual fund performance?," International Review of Financial Analysis, Elsevier, volume 35, issue C, pages 167-177, DOI: 10.1016/j.irfa.2014.08.005.
- Li, Shaofang & Marinč, Matej, 2014, "The use of financial derivatives and risks of U.S. bank holding companies," International Review of Financial Analysis, Elsevier, volume 35, issue C, pages 46-71, DOI: 10.1016/j.irfa.2014.07.007.
- Johan, Sofia A. & Wu, Zhenyu, 2014, "Does the quality of lender–borrower relationships affect small business access to debt? Evidence from Canada and implications in China," International Review of Financial Analysis, Elsevier, volume 36, issue C, pages 206-211, DOI: 10.1016/j.irfa.2014.01.006.
- Werner, Richard A., 2014, "How do banks create money, and why can other firms not do the same? An explanation for the coexistence of lending and deposit-taking," International Review of Financial Analysis, Elsevier, volume 36, issue C, pages 71-77, DOI: 10.1016/j.irfa.2014.10.013.
- Goodhart, C.A.E., 2014, "The parlous state of macroeconomics and the optimal financial structure," International Review of Financial Analysis, Elsevier, volume 36, issue C, pages 78-83, DOI: 10.1016/j.irfa.2014.10.014.
- Glaser, Markus & Riepe, Jan, 2014, "Internal capital market studies in empirical banking: Biases due to usage of assets instead of risk capital?," Finance Research Letters, Elsevier, volume 11, issue 1, pages 47-53, DOI: 10.1016/j.frl.2013.12.001.
- Loyola, Gino & Portilla, Yolanda, 2014, "Reward for failure and executive compensation in institutional investors," Finance Research Letters, Elsevier, volume 11, issue 4, pages 349-361, DOI: 10.1016/j.frl.2014.09.001.
- Chung, Kee H. & Zhang, Hao, 2014, "A simple approximation of intraday spreads using daily data," Journal of Financial Markets, Elsevier, volume 17, issue C, pages 94-120, DOI: 10.1016/j.finmar.2013.02.004.
- Borio, Claudio & Drehmann, Mathias & Tsatsaronis, Kostas, 2014, "Stress-testing macro stress testing: Does it live up to expectations?," Journal of Financial Stability, Elsevier, volume 12, issue C, pages 3-15, DOI: 10.1016/j.jfs.2013.06.001.
- Peltonen, Tuomas A. & Scheicher, Martin & Vuillemey, Guillaume, 2014, "The network structure of the CDS market and its determinants," Journal of Financial Stability, Elsevier, volume 13, issue C, pages 118-133, DOI: 10.1016/j.jfs.2014.05.004.
- Marinč, Matej & Rant, Vasja, 2014, "A cross-country analysis of bank bankruptcy regimes," Journal of Financial Stability, Elsevier, volume 13, issue C, pages 134-150, DOI: 10.1016/j.jfs.2014.06.004.
- León, Carlos & Berndsen, Ron J., 2014, "Rethinking financial stability: Challenges arising from financial networks’ modular scale-free architecture," Journal of Financial Stability, Elsevier, volume 15, issue C, pages 241-256, DOI: 10.1016/j.jfs.2014.10.006.
- Tasca, Paolo & Mavrodiev, Pavlin & Schweitzer, Frank, 2014, "Quantifying the impact of leveraging and diversification on systemic risk," Journal of Financial Stability, Elsevier, volume 15, issue C, pages 43-52, DOI: 10.1016/j.jfs.2014.08.006.
- Champagne, Claudia, 2014, "The international syndicated loan market network: An “unholy trinity”?," Global Finance Journal, Elsevier, volume 25, issue 2, pages 148-168, DOI: 10.1016/j.gfj.2014.06.006.
- Godlewski, Christophe J., 2014, "Bank loans and borrower value during the global financial crisis: Empirical evidence from France," Journal of International Financial Markets, Institutions and Money, Elsevier, volume 28, issue C, pages 100-130, DOI: 10.1016/j.intfin.2013.10.009.
- Degl’Innocenti, Marta & Girardone, Claudia & Torluccio, Giuseppe, 2014, "Diversification, multimarket contacts and profits in the leasing industry," Journal of International Financial Markets, Institutions and Money, Elsevier, volume 31, issue C, pages 231-252, DOI: 10.1016/j.intfin.2014.04.001.
- Shahzad, Hassan & Duong, Huu Nhan & Kalev, Petko S. & Singh, Harminder, 2014, "Trading volume, realized volatility and jumps in the Australian stock market," Journal of International Financial Markets, Institutions and Money, Elsevier, volume 31, issue C, pages 414-430, DOI: 10.1016/j.intfin.2014.04.009.
- Avino, Davide & Cotter, John, 2014, "Sovereign and bank CDS spreads: Two sides of the same coin?," Journal of International Financial Markets, Institutions and Money, Elsevier, volume 32, issue C, pages 72-85, DOI: 10.1016/j.intfin.2014.05.007.
- Schuermann, Til, 2014, "Stress testing banks," International Journal of Forecasting, Elsevier, volume 30, issue 3, pages 717-728, DOI: 10.1016/j.ijforecast.2013.10.003.
- Sikes, Stephanie A., 2014, "The turn-of-the-year effect and tax-loss-selling by institutional investors," Journal of Accounting and Economics, Elsevier, volume 57, issue 1, pages 22-42, DOI: 10.1016/j.jacceco.2013.12.002.
- Calmès, Christian & Théoret, Raymond, 2014, "Bank systemic risk and macroeconomic shocks: Canadian and U.S. evidence," Journal of Banking & Finance, Elsevier, volume 40, issue C, pages 388-402, DOI: 10.1016/j.jbankfin.2013.11.039.
- Balasubramnian, Bhanu & Cyree, Ken B., 2014, "Has market discipline on banks improved after the Dodd–Frank Act?," Journal of Banking & Finance, Elsevier, volume 41, issue C, pages 155-166, DOI: 10.1016/j.jbankfin.2014.01.021.
- Borio, Claudio, 2014, "The financial cycle and macroeconomics: What have we learnt?," Journal of Banking & Finance, Elsevier, volume 45, issue C, pages 182-198, DOI: 10.1016/j.jbankfin.2013.07.031.
- Cao, Charles & Petrasek, Lubomir, 2014, "Liquidity risk in stock returns: An event-study perspective," Journal of Banking & Finance, Elsevier, volume 45, issue C, pages 72-83, DOI: 10.1016/j.jbankfin.2013.09.020.
- Castrén, Olli & Rancan, Michela, 2014, "Macro-Networks: An application to euro area financial accounts," Journal of Banking & Finance, Elsevier, volume 46, issue C, pages 43-58, DOI: 10.1016/j.jbankfin.2014.04.027.
- Bernal, Oscar & Gnabo, Jean-Yves & Guilmin, Grégory, 2014, "Assessing the contribution of banks, insurance and other financial services to systemic risk," Journal of Banking & Finance, Elsevier, volume 47, issue C, pages 270-287, DOI: 10.1016/j.jbankfin.2014.05.030.
- Nofsinger, John & Varma, Abhishek, 2014, "Socially responsible funds and market crises," Journal of Banking & Finance, Elsevier, volume 48, issue C, pages 180-193, DOI: 10.1016/j.jbankfin.2013.12.016.
- Koulischer, François & Struyven, Daan, 2014, "Central bank liquidity provision and collateral quality," Journal of Banking & Finance, Elsevier, volume 49, issue C, pages 113-130, DOI: 10.1016/j.jbankfin.2014.08.022.
- Roque, Vanda & Cortez, Maria Céu, 2014, "The determinants of international equity investment: Do they differ between institutional and noninstitutional investors?," Journal of Banking & Finance, Elsevier, volume 49, issue C, pages 469-482, DOI: 10.1016/j.jbankfin.2014.06.015.
- Pennathur, Anita & Smith, Deborah & Subrahmanyam, Vijaya, 2014, "The stock market impact of government interventions on financial services industry groups: Evidence from the 2007–2009 crisis," Journal of Economics and Business, Elsevier, volume 71, issue C, pages 22-44, DOI: 10.1016/j.jeconbus.2013.08.002.
- Oehmke, Martin, 2014, "Liquidating illiquid collateral," Journal of Economic Theory, Elsevier, volume 149, issue C, pages 183-210, DOI: 10.1016/j.jet.2013.02.001.
- Baranchuk, Nina & Kieschnick, Robert & Moussawi, Rabih, 2014, "Motivating innovation in newly public firms," Journal of Financial Economics, Elsevier, volume 111, issue 3, pages 578-588, DOI: 10.1016/j.jfineco.2013.11.010.
- Fang, Jieyan & Kempf, Alexander & Trapp, Monika, 2014, "Fund Manager Allocation," Journal of Financial Economics, Elsevier, volume 111, issue 3, pages 661-674, DOI: 10.1016/j.jfineco.2013.11.003.
- Mariathasan, Mike & Merrouche, Ouarda, 2014, "The manipulation of basel risk-weights," Journal of Financial Intermediation, Elsevier, volume 23, issue 3, pages 300-321, DOI: 10.1016/j.jfi.2014.04.004.
- Apergis, Nicholas, 2014, "The long-term role of non-traditional banking in profitability and risk profiles: Evidence from a panel of U.S. banking institutions," Journal of International Money and Finance, Elsevier, volume 45, issue C, pages 61-73, DOI: 10.1016/j.jimonfin.2014.03.003.
- Tsolas, Ioannis E., 2014, "Precious metal mutual fund performance appraisal using DEA modeling," Resources Policy, Elsevier, volume 39, issue C, pages 54-60, DOI: 10.1016/j.resourpol.2013.11.001.
- Jiang, George J. & Lu, Liangliang & Zhu, Dongming, 2014, "The information content of analyst recommendation revisions — Evidence from the Chinese stock market," Pacific-Basin Finance Journal, Elsevier, volume 29, issue C, pages 1-17, DOI: 10.1016/j.pacfin.2014.03.002.
- Besancenot, Damien & Vranceanu, Radu, 2014, "Experimental evidence on the ‘insidious’ illiquidity risk," Research in Economics, Elsevier, volume 68, issue 4, pages 315-323, DOI: 10.1016/j.rie.2013.10.006.
- Byoun, Soku, 2014, "Information content of unsolicited credit ratings and incentives of rating agencies: A theory," International Review of Economics & Finance, Elsevier, volume 33, issue C, pages 338-349, DOI: 10.1016/j.iref.2014.02.011.
- Tsuruta, Daisuke, 2014, "Changing banking relationships and client-firm performance: Evidence from Japan for the 1990s," Review of Financial Economics, Elsevier, volume 23, issue 3, pages 107-119, DOI: 10.1016/j.rfe.2013.12.002.
- Aggarwal, Raj & Goodell, John W., 2014, "Cross-national differences in access to finance: Influence of culture and institutional environments," Research in International Business and Finance, Elsevier, volume 31, issue C, pages 193-211, DOI: 10.1016/j.ribaf.2013.09.004.
- Stone, Zita & Filippaios, Fragkiskos & Stoian, Carmen, 2014, "Equity culture development in Central and Eastern Europe: The role of institutional and managerial factors," Research in International Business and Finance, Elsevier, volume 31, issue C, pages 234-263, DOI: 10.1016/j.ribaf.2013.09.005.
- Hwang, Byoung-Hyoung & Lou, Dong & Yin, Chengxi, 2014, "Offsetting disagreement and security prices," LSE Research Online Documents on Economics, London School of Economics and Political Science, LSE Library, number 119022, Nov.
- Denbee, Edward & Julliard, Christian & Yepremyan, Liana & Yuan, Kathy, 2014, "Network risk and key players: a structural analysis of interbank liquidity," LSE Research Online Documents on Economics, London School of Economics and Political Science, LSE Library, number 119028, Oct.
- Danielsson, Jon & James, Kevin R. & Valenzuela, Marcela & Zer, Ilknur, 2014, "Model risk of risk models," LSE Research Online Documents on Economics, London School of Economics and Political Science, LSE Library, number 59296, Apr.
- Tasca, Paolo & Battiston, Stefano, 2014, "Diversification and financial stability," LSE Research Online Documents on Economics, London School of Economics and Political Science, LSE Library, number 59297, Feb.
- Saeed Al-Muharrami & Daniel C. Hardy, 2014, "Cooperative and Islamic Banks: What can they Learn from Each Other?," Advances in the Economic Analysis of Participatory & Labor-Managed Firms, Emerald Group Publishing Limited, "International Perspectives on Participation", DOI: 10.1108/S0885-333920140000015011.
- Jugnu Ansari & Ashima Goyal, 2014, "Bank Competition, Managerial Efficiency and the Interest Rate Pass-Through in India," Contemporary Studies in Economic and Financial Analysis, Emerald Group Publishing Limited, "Risk Management Post Financial Crisis: A Period of Monetary Easing", DOI: 10.1108/S1569-375920140000096013.
- Sheilla Nyasha & Nicholas M Odhiambo, 2014, "Bank-based financial development and economic growth," Journal of Financial Economic Policy, Emerald Group Publishing Limited, volume 6, issue 2, pages 112-132, May, DOI: 10.1108/JFEP-07-2013-0031.
- Michael F. Ferguson & Bradley A. Stevenson, 2014, "Depositor discipline and the bank ' s incentive to monitor," Journal of Financial Economic Policy, Emerald Group Publishing Limited, volume 6, issue 2, pages 98-111, May, DOI: 10.1108/JFEP-06-2013-0022.
- Francesca Battaglia & Maria Mazzuca, 2014, "Securitization and Italian banks’ risk during the crisis," Journal of Risk Finance, Emerald Group Publishing Limited, volume 15, issue 4, pages 458-478, August, DOI: 10.1108/JRF-07-2014-0097.
- Periklis Gogas & Theophilos Papadimitriou & Anna Agrapetidou, 2014, "Forecasting bank credit ratings," Journal of Risk Finance, Emerald Group Publishing Limited, volume 15, issue 2, pages 195-209, March, DOI: 10.1108/JRF-11-2013-0076.
- Ozgur Arslan-Ayaydin & Darold Barnum & Mehmet Baha Karan & Atilla Hakan Ozdemir, 2014, "How is Moral Hazard Related to Financing R&D and Innovations?," European Research Studies Journal, European Research Studies Journal, volume 0, issue 4, pages 111-131.
- Markus Fischer & Christa Hainz & Jörg Rocholl & Sascha Steffen, 2014, "Government guarantees and bank risk taking incentives," ESMT Research Working Papers, ESMT European School of Management and Technology, number ESMT-14-02, Feb.
- Jugnu Ansari & Ashima Goyal, 2014, "Banks Competition, Managerial Efficiency and the Interest Rate Pass-through in India," Working Papers, eSocialSciences, number id:5715, Feb.
- Arito ONO & Daisuke MIYAKAWA & Kaoru HOSONO & Hirofumi UCHIDA & Taisuke UCHINO & Iichiro UESUGI, 2014, "Transaction Partners and Firm Relocation Choice: Evidence from the Tohoku Earthquake," Discussion papers, Research Institute of Economy, Trade and Industry (RIETI), number 14054, Aug.
- Valentina Cioli & Alessandro Giannozzi, 2014, "Banche di credito cooperativo come leva di stabilit? finanziaria. Un?analisi comparata con le banche commerciali. Appendice," ECONOMIA E DIRITTO DEL TERZIARIO, FrancoAngeli Editore, volume 2014, issue 2, pages 239-268.
- Mary Robertson, 2014, "Housing Provision, Finance, and Well-Being in Europe," Working papers, Financialisation, Economy, Society & Sustainable Development (FESSUD) Project, number wpaper14, Mar.
- Marco Veronese Passarella & Malcolm Sawyer, 2014, "Financialisation in the circuit," Working papers, Financialisation, Economy, Society & Sustainable Development (FESSUD) Project, number wpaper18, Jan.
- Malcolm Sawyer, 2014, "Bank-based versus market-based financial systems: a critique of the dichotomy," Working papers, Financialisation, Economy, Society & Sustainable Development (FESSUD) Project, number wpaper19, Jan.
- Malcolm Sawyer, 2014, "Financial development, financialisation and economic growth," Working papers, Financialisation, Economy, Society & Sustainable Development (FESSUD) Project, number wpaper21, Jan.
- Malcolm Sawyer, 2014, "Finance and industrial strategy," Working papers, Financialisation, Economy, Society & Sustainable Development (FESSUD) Project, number wpaper31, Apr.
- Alessandro Vercelli, 2014, "Implications of different understandings of financial crises for divergent conclusions on the connections between finance and sustainability," Working papers, Financialisation, Economy, Society & Sustainable Development (FESSUD) Project, number wpaper46, Jul.
- Giuseppe Fontana & Malcolm Sawyer, 2014, "The Macroeconomics and Financial System Requirements for a Sustainable Future," Working papers, Financialisation, Economy, Society & Sustainable Development (FESSUD) Project, number wpaper53, Aug.
- Badics, Judit & Kiss, Karoly Miklos & Stenger, Zsolt & Szikszai, Szabolcs, 2014, "Financial Regulation in Hungary," Working papers, Financialisation, Economy, Society & Sustainable Development (FESSUD) Project, number wpaper64, Sep.
- Knut Are Aastveit & Andrea Carriero & Todd E. Clark & Massimiliano Marcellino, 2014, "Have Standard VARs Remained Stable since the Crisis?," Working Papers (Old Series), Federal Reserve Bank of Cleveland, number 1411, Sep, DOI: 10.26509/frbc-wp-201411.
- Kristle Romero Cortes & Philip E. Strahan, 2014, "Tracing Out Capital Flows: How Financially Integrated Banks Respond to Natural Disasters," Working Papers (Old Series), Federal Reserve Bank of Cleveland, number 1412, Sep, DOI: 10.26509/frbc-wp-201412.
- Ali Sina Onder & Hakan Yilmazkuday, 2014, "Trade partner diversification and growth: how trade links matter," Globalization Institute Working Papers, Federal Reserve Bank of Dallas, number 192, Sep, DOI: 10.24149/gwp192.
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