Research classified by Journal of Economic Literature (JEL) codes
Top JEL
/ G: Financial Economics
/ / G2: Financial Institutions and Services
/ / / G29: Other
2005
- Blaskowitz, Oliver J. & Herwartz, Helmut & Cadenas Santiago, Gonzalo de, 2005, "Modeling the FIBOR/EURIBOR swap term structure: An empirical approach," SFB 649 Discussion Papers, Humboldt University Berlin, Collaborative Research Center 649: Economic Risk, number 2005-024.
2004
- Michele Benvenuti & Marco Gallo, 2004, "Perch� le imprese ricorrono al factoring? Il caso dell'Italia," Temi di discussione (Economic working papers), Bank of Italy, Economic Research and International Relations Area, number 518, Oct.
- Gonzalez, F. & Haas, F. & Johannes, R. & Persson, M. & Toledo, L. & Violi, R. & Zins, C. & Wieland, M., 2004, "Market dynamics associated with credit ratings: a literature review," Financial Stability Review, Banque de France, issue 4, pages 53-76, June.
- Bappaditya Mukhopadhyay, 2004, "Moral Hazard with Rating Agency: An Incentive Contracting Approach," Annals of Economics and Finance, Society for AEF, volume 5, issue 2, pages 313-333, November.
- González, Fernando & Haas, François & Johannes, Ronald & Persson, Mattias & Toledo, Liliana & Violi, Roberto & Wieland, Martin & Zins, Carmen, 2004, "Market dynamics associated with credit ratings: a literature review," Occasional Paper Series, European Central Bank, number 16, Jun.
- Russo, Daniela & Hart, Terry L. & Malaguti, Maria Chiara & Papathanassiou, Chryssa, 2004, "Governance of securities clearing and settlement systems," Occasional Paper Series, European Central Bank, number 21, Nov.
- Kimie Harada, 2004, "ABS Issuance and Lending Attitude of Banks," Econometric Society 2004 Far Eastern Meetings, Econometric Society, number 670, Aug.
- Block, Steven A. & Vaaler, Paul M., 2004, "The price of democracy: sovereign risk ratings, bond spreads and political business cycles in developing countries," Journal of International Money and Finance, Elsevier, volume 23, issue 6, pages 917-946, October.
- Bacha, Obiyathulla I., 2004, "Dual Banking Systems and Interest Rate Risk for Islamic Banks," MPRA Paper, University Library of Munich, Germany, number 12763, Dec, revised Mar 2004.
- Bacha, Obiyathulla I., 2004, "The Market for Financial Derivatives: Removing Impediments to Growth," MPRA Paper, University Library of Munich, Germany, number 13074, Dec.
- Stefan Heng, 2004, "E-payments: modern complement to traditional payment systems," Finance, University Library of Munich, Germany, number 0407019, Jul.
- Achleitner, Ann-Kristin & Fingerle, Christian H., 2004, "What you get is what you need? The role of venture capitalists in managing growth of new ventures," CEFS Working Paper Series, Technische Universität München (TUM), Center for Entrepreneurial and Financial Studies (CEFS), number 2004-05.
- Achleitner, Ann-Kristin & Kaserer, Christoph & Wagner, Niklas & Poech, Angela & Brixner, Martin & Buchner, Axel & Moldenhauer, Benjamin, 2004, "Charakteristika und Erfolgsmerkmale junger, deutscher Unternehmen: Schwerpunkt Finanzierung," CEFS Working Paper Series, Technische Universität München (TUM), Center for Entrepreneurial and Financial Studies (CEFS), number 2004-07.
2003
- Pere Solà i Gussinyer, 2003, "El mutualismo y su función social: sinopsis histórica," CIRIEC-España, revista de economía pública, social y cooperativa, CIRIEC-España, issue 44, pages 175-198, April.
- Alexis Derviz, 2003, "Components of the Czech Koruna Risk Premium in a Multiple-Dealer FX Market," Working Papers, Czech National Bank, Research and Statistics Department, number 2003/04, Jun.
- Jorge Arturo Saza García, 2003, "La Banca Virtual: Aspectos Conceptuales, Riesgos y Desafios Regulatorios," Apuntes de Banca y Finanzas, Asobancaria, number 2942, Jun.
- Flore Gubert & François Roubaud, 2003, "Le financement des très petites entreprises urbaines : étude d'impact d'un projet de micro-finance à Antananarivo (Madagascar)," Working Papers, DIAL (Développement, Institutions et Mondialisation), number DT/2003/16, Dec.
- Sofia B. RAMOS & Ernst-Ludwig VON THADDEN, 2003, "Stock Exchange Competition in a Simple Model of Capital Market Equilibrium," FAME Research Paper Series, International Center for Financial Asset Management and Engineering, number rp109, Nov.
- Sofia B. Ramos, 2003, "Competition Between Stock Exchanges: A Survey," FAME Research Paper Series, International Center for Financial Asset Management and Engineering, number rp77, Feb.
- Ambec, S. & Treich, N., 2003, "Roscas as financial agreements to cope with social pressure," Working Papers, Grenoble Applied Economics Laboratory (GAEL), number 200301.
- Heinrich, Gregor, 2003, "CPSS Core Principles for Payment Systems," MPRA Paper, University Library of Munich, Germany, number 47429, Oct.
- Morgan, John & Stocken, Phillip C, 2003, "An Analysis of Stock Recommendations," RAND Journal of Economics, The RAND Corporation, volume 34, issue 1, pages 183-203, Spring.
- Stefan Ambec & Nicolas Treich, 2003, "Roscas as Financial Agreements to Cope with Social Pressure," CSEF Working Papers, Centre for Studies in Economics and Finance (CSEF), University of Naples, Italy, number 103, Jun.
- Posthuma, Nolke & Sluis, Pieter Jelle van der, 2003, "A Reality Check on Hedge Funds Returns," Serie Research Memoranda, VU University Amsterdam, Faculty of Economics, Business Administration and Econometrics, number 0017.
- Steven Block & Burkhard N. Schrage & Paul M. Vaaler, 2003, "Democratization???s Risk Premium: Partisan and Opportunistic Political Business Cycle Effects on Sovereign Ratings in Developing Countries," William Davidson Institute Working Papers Series, William Davidson Institute at the University of Michigan, number 546, Feb.
- Steven A. Block & Burkhard N. Schrage & Paul M. Vaaler, 2003, "DEMOCRACY???S SPREAD: Elections and Sovereign Debt in Developing Countries," William Davidson Institute Working Papers Series, William Davidson Institute at the University of Michigan, number 2003-575, May.
- Lamon Rutten, 2003, "A primer on new techniques used by the sophisticated financial fraudster, with special reference to commodity market instruments," International Finance, University Library of Munich, Germany, number 0303001, Mar.
- J. P. Mei & Hsien-Hsing Liao, 2003, "Introduction: Real Estate Analysis in a Dynamic Risk Environment," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 1, in: Jianping Mei & Hsien-Hsing Liao, "Asset Pricing".
- Crocker H. Liu & Jianping J. P. Mei, 2003, "The Predictability of Returns on Equity REITs and their Co-movement with Other Assets," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 2, in: Jianping Mei & Hsien-Hsing Liao, "Asset Pricing".
- Jianping J. P. Mei & Crocker H. Liu, 2003, "The Predictability of Real Estate Returns and Market Timing," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 3, in: Jianping Mei & Hsien-Hsing Liao, "Asset Pricing".
- Crocker H. Liu & Jianping Mei, 2003, "A Time-varying Risk Analysis of Equity and Real Estate Markets in the U.S. and Japan," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 4, in: Jianping Mei & Hsien-Hsing Liao, "Asset Pricing".
- Jianping (J.P.) Mei & Bin Gao, 2003, "Price Reversal, Transaction Costs, and Arbitrage Profits in Real Estate Securities Market," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 5, in: Jianping Mei & Hsien-Hsing Liao, "Asset Pricing".
- Jianping (J.P.) Mei & Anthony Saunders, 2003, "Bank Risk and Real Estate: An Asset Pricing Perspective," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 6, in: Jianping Mei & Hsien-Hsing Liao, "Asset Pricing".
- Jianping (J.P.) Mei, 2003, "Assessing the "Santa Claus" Approach to Asset Allocation: Implications for Commercial Real Estate Investment," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 7, in: Jianping Mei & Hsien-Hsing Liao, "Asset Pricing".
- Jianping (J.P.) Mei & Anthony Saunders, 2003, "The Time-variation of Risk for Life Insurance Companies," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 8, in: Jianping Mei & Hsien-Hsing Liao, "Asset Pricing".
- Kevin Wenli Lu & Jianping (J.R) Mei, 2003, "The Return Distributions of Property Shares in Emerging Markets," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 9, in: Jianping Mei & Hsien-Hsing Liao, "Asset Pricing".
- Jianping (J.P.) Mei & Jiawei Hu, 2003, "Conditional Risk Premiums of Asian Real Estate Stocks," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 10, in: Jianping Mei & Hsien-Hsing Liao, "Asset Pricing".
- Hsien-Hsing Liao & Jianping (J.P.) Mei, 2003, "Institutional Factors and Real Estate Returns: A Cross-Country Study," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 11, in: Jianping Mei & Hsien-Hsing Liao, "Asset Pricing".
- Kauko, Karlo, 2003, "Interlinking securities settlement systems: A strategic commitment?," Bank of Finland Research Discussion Papers, Bank of Finland, number 26/2003.
- Kluß, Norbert & König, Markus & Cremers, Heinz, 2003, "Incentive Fees: erfolgsabhängige Vergütungsmodelle deutscher Publikumsfonds," Frankfurt School - Working Paper Series, Frankfurt School of Finance and Management, number 45.
2002
- Tania Cristina Teixeira & Amparo Soler Domingo, 2002, "La conformación del cooperativismo en Brasil: tendencias y desafíos en el Siglo XXI," CIRIEC-España, revista de economía pública, social y cooperativa, CIRIEC-España, issue 43, pages 205-226, November.
- Lucas, Andre & Klaassens, Pieter & Spreij, Peter & Straetmans, Stefan, 2002, "Erratum to "An analytic approach to credit risk of large corporate bond and loan portfolios" [Journal of Banking and Finance 25, no. 9, pp. 1635-1664]," Journal of Banking & Finance, Elsevier, volume 26, issue 1, pages 201-202, January.
- Schmiedel, Heiko, 2002, "Total factor productivity growth in European stock exchanges: A non-parametric frontier approach," Bank of Finland Research Discussion Papers, Bank of Finland, number 11/2002.
2001
- Steven A. Block & Paul M. Vaaler, 2001, "The Price of Democracy: Sovereign Risk Ratings, Bond Spreads and Political Business Cycles in Developing Countries," CID Working Papers, Center for International Development at Harvard University, number 82, Dec.
- Charles Cao & Eric Ghysels & Frank Hatheway, 2001, "Derivatives Do Affect Mutual Funds Returns : How and When?," CIRANO Working Papers, CIRANO, number 2001s-62, Nov.
- Lucas, Andre & Klaassen, Pieter & Spreij, Peter & Straetmans, Stefan, 2001, "An analytic approach to credit risk of large corporate bond and loan portfolios," Journal of Banking & Finance, Elsevier, volume 25, issue 9, pages 1635-1664, September.
- Damjanovic, Tatiana, 2001, "The Distributional Component of the Price of the Tax Avoidance Service," SSE/EFI Working Paper Series in Economics and Finance, Stockholm School of Economics, number 0454, Jul, revised 03 Dec 2001.
- Bacha, Obiyathulla I. & Abdullah, Mimi H., 2001, "Halal Stock Designation and Impact on Price and Trading Volume," MPRA Paper, University Library of Munich, Germany, number 12728, Jun, revised Feb 2001.
2000
- Rahul Dhumale, 2000, "Capital Adequacy Standards: Are They Sufficient?," Working Papers, Centre for Business Research, University of Cambridge, number wp165, Jun.
- Rahul Dhumale, 2000, "An Incentive Based Regulatory System: A Bridge Too Far," Working Papers, Centre for Business Research, University of Cambridge, number wp170, Jun.
- de Bandt, Olivier & Hartmann, Philipp, 2000, "Systemic Risk: A Survey," CEPR Discussion Papers, C.E.P.R. Discussion Papers, number 2634, Dec.
- De Bandt, Olivier & Hartmann, Philipp, 2000, "Systemic risk: A survey," Working Paper Series, European Central Bank, number 35, Nov.
- Jean-Pierre Landau & Jean Tricou, 2000, "L’industrie des services financiers : nouvel environnement, nouveaux enjeux," Revue d'Économie Financière, Programme National Persée, volume 57, issue 2, pages 119-125, DOI: 10.3406/ecofi.2000.3509.
- Gaétan Breton & Alain Schatt, 2000, "Rôle et caractérisation de l’analyse financière," Revue d'Économie Financière, Programme National Persée, volume 59, issue 4, pages 147-161, DOI: 10.3406/ecofi.2000.3696.
- Jean-Pierre Landau & Jean Tricou, 2000, "The financial services industry : new environment, new Stakes," Revue d'Économie Financière, Programme National Persée, volume 57, issue 2, pages 111-117, DOI: 10.3406/ecofi.2000.4729.
1999
- Rahul Dhumale, 1999, "Systemic Risk in International Settlements," Working Papers, Centre for Business Research, University of Cambridge, number wp152, Dec.
- Arno Städtler, 1999, "Investitionskonjunktur stärkt Leasingwachstum," ifo Schnelldienst, ifo Institute - Leibniz Institute for Economic Research at the University of Munich, volume 52, issue 35, pages 7-21, February.
- Lucas, André & Klaassen, Pieter & Spreij, Peter, 1999, "An analytic approach to credit risk of large corporate bond and loan portfolios," Serie Research Memoranda, VU University Amsterdam, Faculty of Economics, Business Administration and Econometrics, number 0018.
1998
- Morgan, J. & Stocken, P., 1998, "An Analysis of Stock Recommendations," Papers, Princeton, Woodrow Wilson School - Public and International Affairs, number 204.
- Philip T. Hoffman & Gilles Postel-Vinay & Jean-Laurent Rosenthal, 1998, "What do Notaries do?. Overcoming Asymmetric Information in Financial Markets: The Case of Paris, 1751," Journal of Institutional and Theoretical Economics (JITE), Mohr Siebeck, Tübingen, volume 154, issue 3, pages 499-499, September.
1997
- Kobayakawa, Shuji, 1997, "The Comparative Analysis of Settlement Systems," CEPR Discussion Papers, C.E.P.R. Discussion Papers, number 1667, Jul.
1996
- Angelini, P., 1996, "Are Banks Risk-Averse? A Note on the Timing of Operations in the Interbank Market," Papers, Banca Italia - Servizio di Studi, number 266.
1995
- Bhala, R., 1995, "Towards a Payment Systems Law for Developing and Transition Economies," World Bank - Discussion Papers, World Bank, number 299.
- Khandker, S.R. & Khalily, B. & Khan, Z., 1995, "Grameen Bank: Performance and Sustainability," World Bank - Discussion Papers, World Bank, number 306.
- Guinnane, T.W., 1995, "Diversification, Liquidity, and Supervision for Small Financial Institutions: Nineteenth-Century German Credit Cooperatives," Papers, Yale - Economic Growth Center, number 733.
1994
- Philip T. Hoffman & Gilles Postel-Vinay & Jean-Laurent Rosenthal, 1994, "What do Notaries do? Overcoming Asymmetric Information in Financial Markets: The Case of Paris, 1751," UCLA Economics Working Papers, UCLA Department of Economics, number 719, Oct.
1993
- Pagano, Marco & Jappelli, Tullio, 1993, "Information Sharing in Credit Markets," Journal of Finance, American Finance Association, volume 48, issue 5, pages 1693-1718, December.
1991
- Jappelli, Tullio & Pagano, Marco, 1991, "Information Sharing in Credit Markets," CEPR Discussion Papers, C.E.P.R. Discussion Papers, number 579, Oct.
1990
- David Card, 1990, "The Impact of the Mariel Boatlift on the Miami Labor Market," ILR Review, Cornell University, ILR School, volume 43, issue 2, pages 245-257, January.
1989
- David Card, 1989, "The Impact of the Mariel Boatlift on the Miami Labor Market," NBER Working Papers, National Bureau of Economic Research, Inc, number 3069, Aug.
- David Card, 1989, "The Impact of the Mariel Boatlift on the Miami Labor Market," Working Papers, Princeton University, Department of Economics, Industrial Relations Section., number 633, May.
0
- Dorcas Funmilola Oke & Dorcas Funmilola Oke, , "Demand and supply-side determinants of financial inclusion: A case study of micro, small and medium enterprises in southwest Nigeria," Review of Socio - Economic Perspectives, Reviewsep, number 202314, DOI: https://doi.org/10.19275/RSEP157.
- Ignacio Lozano-Espitia & Alexander Guarín-López, 2015, "Fragilidad bancaria en Colombia: un análisis basado en las hojas de balance," Chapters, Banco de la Republica de Colombia, chapter 10, in: Jose E. Gomez-Gonzalez & Jair N. Ojeda-Joya, "Política monetaria y estabilidad financiera en economías pequeñas y abiertas", DOI: 10.32468/Ebook.664-314-6.
- Wilmar Cabrera & Jorge Hurtado & Miguel Morales & Juan Sebastián Rojas, 2014, "A Composite Indicator of Systemic Stress (CISS) for Colombia," Temas de Estabilidad Financiera, Banco de la Republica de Colombia, number 80, Jun, DOI: 10.32468/tef.80.
- Sofia Brito Ramos, 2006, "Why Do Stock Exchanges Demutualize and Go Public?," Swiss Finance Institute Research Paper Series, Swiss Finance Institute, number 06-10, Mar.
- Sandip Dhole & Sagarika Mishra & K. Sivaramakrishnan, , "Benchmark for Earnings Performance: Management Forecasts versus Analysts’ Forecasts," Working Papers, Deakin University, Department of Economics, number 2012_06.
- Robert J Bianchi & Michael E Drew, , "2012-12 On the Ethics of Short Selling," Discussion Papers in Finance, Griffith University, Department of Accounting, Finance and Economics, number finance:201212.
- Julie Knutsen, , "2012-18 The financial coaching advice model: An exploration into how it satisfies expectations of quality advice," Discussion Papers in Finance, Griffith University, Department of Accounting, Finance and Economics, number finance:201218.
- Sudipta Sarangi & Moh'd Al-Azzam & R. Carter Hill, 2011, "Repayment Performance in Group Lending: Evidence from Jordan," Departmental Working Papers, Department of Economics, Louisiana State University, number 2011-09, Sep.
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