Research classified by Journal of Economic Literature (JEL) codes
Top JEL
/ G: Financial Economics
/ / G3: Corporate Finance and Governance
/ / / G32: Financing Policy; Financial Risk and Risk Management; Capital and Ownership Structure; Value of Firms; Goodwill
2014
- Raveesh Krishnankutty & Kiran Sankar Chakraborty, 2014, "Growth and Long-term Debt of Indian Corporate Sector: A Study With Reference to Bombay Stock Exchange 500 Index Companies," Economic Research Guardian, Mutascu Publishing, volume 4, issue 1, pages 13-24, June.
- Abigail S. Hornstein & Zachary Nguyen, 2014, "Is More Less? Propensity to diversify via M&A and market reactions," Wesleyan Economics Working Papers, Wesleyan University, Department of Economics, number 2014-002, Mar.
- Daniele Coin & Valerio Vacca, 2014, "Non-bank finance for firms. The role of private equity funds in north-western Italy," ERSA conference papers, European Regional Science Association, number ersa14p119, Nov.
- Meilan Yan & Maximilian J. B. Hall & Paul Turner, 2014, "Estimating Liquidity Risk Using The Exposure‐Based Cash‐Flow‐At‐Risk Approach: An Application To The Uk Banking Sector," International Journal of Finance & Economics, John Wiley & Sons, Ltd., volume 19, issue 3, pages 225-238, July.
- Francesco Lippi & Fabiano Schivardi, 2014, "Corporate control and executive selection," Quantitative Economics, Econometric Society, volume 5, issue , pages 417-456, July.
- Mohammad Al‐Shboul & Sajid Anwar, 2014, "Foreign exchange rate exposure: Evidence from Canada," Review of Financial Economics, John Wiley & Sons, volume 23, issue 1, pages 18-29, January, DOI: 10.1016/j.rfe.2013.12.001.
- Daisuke Tsuruta, 2014, "Changing banking relationships and client‐firm performance: Evidence from Japan for the 1990s," Review of Financial Economics, John Wiley & Sons, volume 23, issue 3, pages 107-119, September, DOI: 10.1016/j.rfe.2013.12.002.
- Chii-Shyan Kuo & Shih-Ti Yu & Che-Ching Liao, 2014, "An Analysis Of Stock Repurchase Transaction Using A Panel Data Sample Selection Model," Annals of Financial Economics (AFE), World Scientific Publishing Co. Pte. Ltd., volume 9, issue 01, pages 1-24, DOI: 10.1142/S2010495214500031.
- Chia-Lin Chang & Shing-Yang Hu & Shih-Ti Yu, 2014, "Recent Developments In Quantitative Finance: An Overview," Annals of Financial Economics (AFE), World Scientific Publishing Co. Pte. Ltd., volume 9, issue 02, pages 1-7, DOI: 10.1142/S2010495214020023.
- Raimund M. Kovacevic & Georg Ch Pflug, 2014, "Are Time Consistent Valuations Information Monotone?," International Journal of Theoretical and Applied Finance (IJTAF), World Scientific Publishing Co. Pte. Ltd., volume 17, issue 01, pages 1-33, DOI: 10.1142/S0219024914500034.
- Deming Wu & Suning Zhang, 2014, "Debt Market Liquidity and Corporate Default Prediction," Quarterly Journal of Finance (QJF), World Scientific Publishing Co. Pte. Ltd., volume 4, issue 04, pages 1-33, DOI: 10.1142/S2010139215500032.
- Akihiko Takahashi & Yukio Muromachi & Takashi Shibata (ed.), 2014, "Recent Advances in Financial Engineering 2012:Proceedings of the International Workshop on Finance 2012," World Scientific Books, World Scientific Publishing Co. Pte. Ltd., number 9015, ISBN: ARRAY(0x75531d58), September.
- Risk Management Institute (ed.), 2014, "Global Credit Review:Volume 4," World Scientific Books, World Scientific Publishing Co. Pte. Ltd., number 9398, ISBN: ARRAY(0x75241e58), September.
- Masayasu Kanno, 2014, "An Assessment of Systemic Risk in the Japanese Banking Sector," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 1, in: Risk Management Institute, "GLOBAL CREDIT REVIEW".
- Dexter Tan & Thomas Cho, 2014, "Evolving Global Capital Regulations and Its Impact Particularly on Asia," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 2, in: Risk Management Institute, "GLOBAL CREDIT REVIEW".
- Jin-Chuan Duan, 2014, "Actuarial Par Spread and Empirical Pricing of CDS by Decomposition," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 3, in: Risk Management Institute, "GLOBAL CREDIT REVIEW".
- Jenny Bai & Heikki Seppälä & Ser-Huang Poon, 2014, "Fast Approximation of Loan Portfolio Loss," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 4, in: Risk Management Institute, "GLOBAL CREDIT REVIEW".
- Steven E. Plaut, 2014, "Rejection and Partial Rejection of Consumer Credit Applications," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 5, in: Risk Management Institute, "GLOBAL CREDIT REVIEW".
- Andy McGee & Ilya Khaykin, 2014, "IACPM/Oliver Wyman Survey: Perspectives on the Evolving Role of Enterprise-Wide Stress Testing," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 6, in: Risk Management Institute, "GLOBAL CREDIT REVIEW".
- Risk Management Institute Singapore, 2014, "NUS-RMI Credit Research Initiative Technical Report," World Scientific Book Chapters, World Scientific Publishing Co. Pte. Ltd., chapter 7, in: Risk Management Institute, "GLOBAL CREDIT REVIEW".
- Fernando Leibovici & David Kohn & Michal Szkup, 2014, "Financial Frictions and New Exporter Dynamics," Working Papers, York University, Department of Economics, number 2014_4, Aug.
- Hasan, Iftekhar & Jackowicz, Krzysztof & Kowalewski, Oskar & Kozłowski, Łukasz, 2014, "Politically connected firms in Poland and their access to bank financing," BOFIT Discussion Papers, Bank of Finland Institute for Emerging Economies (BOFIT), number 2/2014.
- Fungáčová, Zuzana & Weill, Laurent & Kochanova, Anna, 2014, "Does money buy credit? Firm-level evidence on bribery and bank debt," BOFIT Discussion Papers, Bank of Finland Institute for Emerging Economies (BOFIT), number 4/2014.
- Francis, Bill & Hasan, Iftekhar & Sun, Xian & Waisman, Maya, 2014, "Can firms learn by observing? Evidence from cross-border M&As," Bank of Finland Research Discussion Papers, Bank of Finland, number 17/2014.
- Delis, Manthos D. & Hasan, Iftekhar & Tsionas, Efthymios G., 2014, "The risk of financial intermediaries," Bank of Finland Research Discussion Papers, Bank of Finland, number 18/2014.
- Westman, Hanna, 2014, "Crisis performance of European banks – does management ownership matter?," Bank of Finland Research Discussion Papers, Bank of Finland, number 28/2014.
- Vilsmeier, Johannes, 2014, "Updating the option implied probability of default methodology," Discussion Papers, Deutsche Bundesbank, number 43/2014.
- Limbach, Peter & Sonnenburg, Florian, 2014, "CEO fitness and firm value," CFR Working Papers, University of Cologne, Centre for Financial Research (CFR), number 14-12.
- Limbach, Peter & Sonnenburg, Florian, 2014, "CEO fitness and firm value," CFR Working Papers, University of Cologne, Centre for Financial Research (CFR), number 14-12 [rev.].
- Kaya, Orcun & Wang, Lulu, 2014, "The role of bank lending tightening on corporate bond issuance in the eurozone," CFS Working Paper Series, Center for Financial Studies (CFS), number 456.
- Betz, Frank & Hautsch, Nikolaus & Peltonen, Tuomas A. & Schienle, Melanie, 2014, "Systemic risk spillovers in the European banking and sovereign network," CFS Working Paper Series, Center for Financial Studies (CFS), number 467.
- Weber, Ron & Mußhoff, Oliver & Petrick, Martin, 2014, "How flexible repayment schedules affect credit risk in agricultural microfinance," DARE Discussion Papers, Georg-August University of Göttingen, Department of Agricultural Economics and Rural Development (DARE), number 1404.
- Acheson, Graeme G. & Campbell, Gareth & Turner, John D. & Vanteeva, Nadia, 2014, "Corporate ownership and control in Victorian Britain," eabh Papers, The European Association for Banking and Financial History (EABH), number 14-02.
- Erdinç, Didar & Abazi, Eda, 2014, "The Determinants of NPLs in Emerging Europe, 2000-2011," EconStor Open Access Articles and Book Chapters, ZBW - Leibniz Information Centre for Economics, volume 1, issue 2, pages 112-125, DOI: 10.1453/jepe.v1i2.59.
- Iyer, Rajkamal & Da-Rocha-Lopes, Samuel & Peydró, José-Luis & Schoar, Antoinette, 2014, "Interbank Liquidity Crunch and the Firm Credit Crunch: Evidence from the 2007-2009 Crisis," EconStor Open Access Articles and Book Chapters, ZBW - Leibniz Information Centre for Economics, volume 27, issue 1, pages 347-372.
- Strøm, Reidar Øystein & D’Espallier, Bert & Mersland, Roy, 2014, "Female leadership, performance, and governance in microfinance institutions," EconStor Open Access Articles and Book Chapters, ZBW - Leibniz Information Centre for Economics, volume 42, pages 60-75.
- Ahrend, Klaus-Michael, 2014, "Corporate Governance in der Energiewirtschaft – zwischen Unternehmenswert und Public Value," EconStor Preprints, ZBW - Leibniz Information Centre for Economics, number 106508, Oct.
- Shachmurove, Yochanan & Vulanovic, Milos, 2014, "SPACs with focus on China," EconStor Preprints, ZBW - Leibniz Information Centre for Economics, number 92407.
- Žikeš, Filip & Baruník, Jozef, 2014, "Semiparametric Conditional Quantile Models for Financial Returns and Realized Volatility," FinMaP-Working Papers, Collaborative EU Project FinMaP - Financial Distortions and Macroeconomic Performance: Expectations, Constraints and Interaction of Agents, number 20.
- Krasnosselski, Nikolai & Cremers, Heinz & Sanddorf, Walter, 2014, "Messung des Marktrisikos mit generalisierter autoregressiver bedingter heteroskedastischer Modellierung der Volatilität: Ein Vergleich univariater und multivariater Konzepte," Frankfurt School - Working Paper Series, Frankfurt School of Finance and Management, number 208.
- Schlömer-Laufen, Nadine & Lamsfuß, Christoph & Große, Jutta & Chlosta, Simone, 2014, "Wirtschaftliche Entwicklung großer Familien- und Nichtfamilienunternehmen: Eine Bilanzdatenanalyse für den Zeitraum 2008 bis 2012," IfM-Materialien, Institut für Mittelstandsforschung (IfM) Bonn, number 235.
- Schlömer-Laufen, Nadine & Kay, Rosemarie & Holz, Michael, 2014, "Works councils in family businesses in Germany: Why are there so few?," Working Papers, Institut für Mittelstandsforschung (IfM) Bonn, number 03/14.
- Su, Kun, 2014, "The inner structure of pyramid and capital structure: Evidence from China," Economics Discussion Papers, Kiel Institute for the World Economy, number 2014-5.
- Kersting, Erasmus & Görg, Holger, 2014, "Vertical integration and supplier finance," Kiel Working Papers, Kiel Institute for the World Economy, number 1894.
- Gatzer, Sebastian & Hoang, Daniel & Ruckes, Martin, 2014, "Internal capital markets and diversified firms: Theory and practice," Working Paper Series in Economics, Karlsruhe Institute of Technology (KIT), Department of Economics and Management, number 64, DOI: 10.5445/IR/1000044663.
- Casajus, André & Labrenz, Helfried, 2014, "A property rights based consolidation approach," Working Papers, University of Leipzig, Faculty of Economics and Management Science, number 126.
- Acheson, Graeme & Campbell, Gareth & Turner, John D. & Vanteeva, Nadia, 2014, "Corporate Ownership and Control in Victorian Britain," QUCEH Working Paper Series, Queen's University Belfast, Queen's University Centre for Economic History, number 14-01.
- aus dem Moore, Nils, 2014, "Taxes and Corporate Financing Decisions – Evidence from the Belgian ACE Reform," Ruhr Economic Papers, RWI - Leibniz-Institut für Wirtschaftsforschung, Ruhr-University Bochum, TU Dortmund University, University of Duisburg-Essen, number 533, DOI: 10.4419/86788610.
- Cao, Xiaofeng & Okhrin, Ostap & Odening, Martin & Ritter, Matthias, 2014, "Modelling spatiotemporal variability of temperature," SFB 649 Discussion Papers, Humboldt University Berlin, Collaborative Research Center 649: Economic Risk, number 2014-020.
- Chen, Cathy Yi-hsuan & Härdle, Wolfgang Karl & Hien, Pham-thu, 2014, "The integration of credit default swap markets in the pre and post-subprime crisis in common stochastic trends," SFB 649 Discussion Papers, Humboldt University Berlin, Collaborative Research Center 649: Economic Risk, number 2014-039.
- Härdle, Wolfgang Karl & Sirotko-Sibirskaya, Natalia & Wang, Weining, 2014, "TENET: Tail-Event driven NETwork risk," SFB 649 Discussion Papers, Humboldt University Berlin, Collaborative Research Center 649: Economic Risk, number 2014-066.
- Füllbrunn, Sascha & Neugebauer, Tibor & Nicklisch, Andreas, 2014, "Underpricing of Initial Public Offerings in Experimental Asset Markets," WiSo-HH Working Paper Series, University of Hamburg, Faculty of Business, Economics and Social Sciences, WISO Research Laboratory, number 19.
- Görg, Holger & Kersting, Erasmus, 2014, "Vertical Integration and Supplier Finance," VfS Annual Conference 2014 (Hamburg): Evidence-based Economic Policy, Verein für Socialpolitik / German Economic Association, number 100281.
- Auboin, Marc & Blengini, Isabella, 2014, "The impact of Basel III on trade finance: The potential unintended consequences of the leverage ratio," WTO Staff Working Papers, World Trade Organization (WTO), Economic Research and Statistics Division, number ERSD-2014-02, DOI: 10.30875/c77d1984-en.
- Schober, Dominik & Schäffler, Stephan & Weber, Christoph, 2014, "Idiosyncratic risk and the cost of capital: The case of electricity networks," ZEW Discussion Papers, ZEW - Leibniz Centre for European Economic Research, number 14-010.
- Hoepner, Andreas & Oikonomou, Ioannis & Scholtens, Bert & Schröder, Michael, 2014, "The effects of corporate and country sustainability characteristics on the cost of debt: An international investigation," ZEW Discussion Papers, ZEW - Leibniz Centre for European Economic Research, number 14-100.
- Suren Pakhchanyan & Gor Sahakyan, 2014, "Drivers of Bank Risk, Solvency, and Profitability in the Armenian Banking System," ZenTra Working Papers in Transnational Studies, ZenTra - Center for Transnational Studies, number 44 / 2014, Nov.
- Paulo M.M. Rodrigues & Uwe Hassler, 2014, "Persistence in the Banking Industry: Fractional integration and breaks in memory," Working Papers, Banco de Portugal, Economics and Research Department, number w201406.
- Costas Lambrinoudakis & Michael Neumann & George Skiadopoulos, 2014, "Capital Structure and Financial Flexibility: Expectations of Future Shocks," Working Papers, Queen Mary University of London, School of Economics and Finance, number 731, Oct.
- Benjamin Hébert, 2014, "Moral Hazard and the Optimality of Debt," Working Paper, Harvard University OpenScholar, number 145746, Feb.
- Francisco Alejandro Villagomez Amezcua & Gonzalo Vicente Saucedo Rincon, 2014, "El mercado de credito mexicano: Factores que determinan su desempeno," EconoQuantum, Revista de Economia y Finanzas, Universidad de Guadalajara, Centro Universitario de Ciencias Economico Administrativas, Departamento de Metodos Cuantitativos y Maestria en Economia., volume 11, issue 1, pages 9-30, Enero-Jun.
- Wieczorek-Kosmala, Monika, 2014, "Risk management practices from risk maturity models perspective," Journal of East European Management Studies, Rainer Hampp Verlag, volume 19, issue 2, pages 133-159.
- Anil, Ibrahim & Tatoglu, Ekrem & Ozkasap, Gaye, 2014, "Ownership and market entry mode choices of emerging country multinationals in a transition country: evidence from Turkish multinationals in Romania," Journal of East European Management Studies, Rainer Hampp Verlag, volume 19, issue 4, pages 413-452.
- Zevallos, Mauricio & Villarreal, Fernanda & Del Carpio, Carlos & Abbara, Omar, 2014, "Influencia de los precios de los metales y el mercado internacional en el riesgo bursátil peruano," Working Papers, Banco Central de Reserva del Perú, number 2014-023, Dec.
- Sébastien Pouget, 2014, "On the Financial Performance of Socially Responsible Investments," Bankers, Markets & Investors, ESKA Publishing, issue 128, pages 31-35, January-F.
- Philippe Bertrand & Alexis Guyot & Vincent Lapointe, 2014, "Raising Companies’ Profile with Corporate Social Performance," Bankers, Markets & Investors, ESKA Publishing, issue 130, pages 41-54, May-June.
- Amel Belanès & Malek Saihi, 2014, "Does Employee Ownership Really Boost Performance?," Bankers, Markets & Investors, ESKA Publishing, issue 130, pages 55-68, May-June.
- Anaïs Hamelin, 2014, "The Performance Implications of Business Group Affiliation for Small Businesses," Bankers, Markets & Investors, ESKA Publishing, issue 131, pages 43-50, July-Augu.
- Juan C. Arismendi & Herbert Kimura, 2014, "Monte Carlo Approximate Tensor Moment Simulations," ICMA Centre Discussion Papers in Finance, Henley Business School, University of Reading, number icma-dp2014-08, Aug.
- Andreas Hoepner & Ioannis Oikonomou & Bert Scholtens & Michael Schroder, 2014, "The Effects of Corporate and Country Sustainability Characteristics on the Cost of Debt: An International Investigation," ICMA Centre Discussion Papers in Finance, Henley Business School, University of Reading, number icma-dp2014-14, Dec.
- Martin Szydlowski, 2014, "Incentives, Project Choice, and Dynamic Multitasking," 2014 Meeting Papers, Society for Economic Dynamics, number 1240.
- Ali Ozdagli, 2014, "Financial Frictions and Reaction of Stock Prices to Monetary Policy Shocks," 2014 Meeting Papers, Society for Economic Dynamics, number 1360.
- Tetsuji Okazaki & Chad Syverson & Atsushi Ohyama & Serguey Braguinsky, 2014, "Acquisitions, Productivity, and Profitability: Evidence from the Japanese Cotton Spinning Industry," 2014 Meeting Papers, Society for Economic Dynamics, number 177.
- Kenza Benhima & Celine Poilly & Philippe Bacchetta, 2014, "Corporate Cash and Employment," 2014 Meeting Papers, Society for Economic Dynamics, number 256.
- Urban Jermann & Lukas Schmid & Joao Gomes, 2014, "Sticky Leverage," 2014 Meeting Papers, Society for Economic Dynamics, number 40.
- Thomas Eisenbach & Fernando Duarte, 2014, "Fire-Sale Spillovers and Systemic Risk," 2014 Meeting Papers, Society for Economic Dynamics, number 541.
- Raveesh Krishnankutty & K.S. Chakraborty, 2014, "The Determinants of Corporate debt maturity: a study on listed companies of Bombay Stock Exchange 500 index," Romanian Economic Journal, Department of International Business and Economics from the Academy of Economic Studies Bucharest, volume 17, issue 51, pages 67-90, March.
- Loris Lino Maria Nadotti & Laura-Gabriela Constantin, 2014, "Catastrophe Bonds Structures at European Level – A Cluster Analysis Approach," Romanian Economic Journal, Department of International Business and Economics from the Academy of Economic Studies Bucharest, volume 17, issue 54, pages 115-141, December.
- Ioana Alexandra Bradea, 2014, "Risks in hospitals. Assessment and Management," Romanian Economic Journal, Department of International Business and Economics from the Academy of Economic Studies Bucharest, volume 17, issue 54, pages 25-36, December.
- Baojing Sun & G. Cornelis van Kooten, 2014, "Financial Weather Options for Crop Production," Working Papers, University of Victoria, Department of Economics, Resource Economics and Policy Analysis Research Group, number 2014-03, Feb.
- Alexandr Shcherba, 2014, "Comparing «Realized volatility» models in the VaR calculation for the Russian equity market," Applied Econometrics, Russian Presidential Academy of National Economy and Public Administration (RANEPA), volume 34, issue 2, pages 120-136.
- Mohammad Ruhul Amin & Md. Abdullahel Kafi & Md. Mahabbat Hossain, 2014, "Relationship between Ownership Structure and the Modes of Dividend Payment: A Study on Dhaka Stock Exchange," Asian Business Review, Asian Business Consortium, volume 4, issue 1, pages 7-11.
- Ahmet Bostancı & Turhan Korkmaz, 2014, "Comparison of Value at Risk Calculation Models in Terms of Banks’ Capital Adequacy Ratio," Business and Economics Research Journal, Bursa Uludag University, Faculty of Economics and Administrative Sciences, volume 5, issue 3, pages 15-41.
- Ezzeddine Ben Mohamed & Mohamed Naceur & Amel Baccar & Abdelfettah Bouri, 2014, "CEO’s personal characteristics, ownership and investment cash flow sensitivity: Evidence from NYSE panel data firms," Journal of Economics, Finance and Administrative Science, Universidad ESAN, volume 19, issue 37, pages 98-103.
- Markus Schmid & Ingo Walter, 2014, "Firm structure in banking and finance: is broader better?," Journal of Financial Perspectives, EY Global FS Institute, volume 2, issue 2, pages 65-75.
- Silvije Orsag & Josip Mitar, 2014, "Application Of Cost Of Capital For Capital Structuring In Croatian Firms," UTMS Journal of Economics, University of Tourism and Management, Skopje, Macedonia, volume 5, issue 2, pages 151-158.
- Dinica, Mihai Cristian & Armeanu, Daniel, 2014, "The Optimal Hedging Ratio for Non-Ferrous Metals," Journal for Economic Forecasting, Institute for Economic Forecasting, volume 0, issue 1, pages 105-122, March.
- Georgeta Vintila & Stefan Cristian Gherghina & Mihai Nedelescu, 2014, "The Effects of Ownership Concentration and Origin on Listed Firms’ Value: Empirical Evidence from Romania," Journal for Economic Forecasting, Institute for Economic Forecasting, volume 0, issue 3, pages 51-71, October.
- Erica Cristina BALEA, 2014, "Crude Oil Risk Management: the Optimal Hedge Ratio and Hedging Effectiveness Evolution," Economia. Seria Management, Faculty of Management, Academy of Economic Studies, Bucharest, Romania, volume 17, issue 1, pages 181-188, June.
- Laura-Gabriela CONSTANTIN, 2014, "Catastrophe Bonds. From Structure to Strategy – A Cluster Analysis at European Level," Economia. Seria Management, Faculty of Management, Academy of Economic Studies, Bucharest, Romania, volume 17, issue 2, pages 304-317, December.
- Dumitru-Alexandru BODISLAV & Florina BRAN & Mariana IOVI?U, 2014, "Managing Corporate Strategy from the Expansion Perspective," REVISTA DE MANAGEMENT COMPARAT INTERNATIONAL/REVIEW OF INTERNATIONAL COMPARATIVE MANAGEMENT, Faculty of Management, Academy of Economic Studies, Bucharest, Romania, volume 15, issue 5, pages 566-572, December.
- Corina Nichitcin, 2014, "The impact of budgetary resources of financing investment decision," Review of Applied Socio-Economic Research, Pro Global Science Association, volume 7, issue 1, pages 102-108, June.
- Giulio Pasi, 2014, "Challenges for European welfare systems. A research agenda on social impact bonds," Review of Applied Socio-Economic Research, Pro Global Science Association, volume 8, issue 2, pages 141-150, June.
- Doina Draniceanu, 2014, "Sovereign wealth funds – public investment vehicles, foreign policy element. Comparative evolution in the international context," Romanian Statistical Review, Romanian Statistical Review, volume 62, issue 3, pages 77-88, September.
- Loretta Mastroeni & Giuseppe D'Acquisto & Maurizio Naldi, 2014, "Evaluation of Credit Risk Under Correlated Defaults: The Cross-Entropy Simulation Approach," Departmental Working Papers of Economics - University 'Roma Tre', Department of Economics - University Roma Tre, number 0193, Sep.
- Francesco Baldi & Gerardo Murano, 2014, "Mini-bonds as debt instruments for small and medium-sized enterprises: regulation, market analysis and issuance strategies," Rivista Bancaria - Minerva Bancaria, Istituto di Cultura Bancaria Francesco Parrillo, issue 1, January -.
- Cathy Ning & Dinghai Xu & Tony Wirjanto, 2014, "Is Volatility Clustering of Asset Returns Asymmetric?," Working Papers, Toronto Metropolitan University, Department of Economics, number 050, Jun.
- Chris van Heerden & Frans Dreyer & Susari Geldenhuys, 2014, "Timing a Hedge Decision: The Development of a Composite Technical Indicator for White Maize," ERSA Working Paper Series, Economic Research Southern Africa, number 423, Feb.
- Magdalena Gostkowska-Drzewicka, 2014, "Corporate Bond Market Of Real Estate Development Companies In Poland," "e-Finanse", University of Information Technology and Management, Institute of Financial Research and Analysis, volume 10, issue 1, pages 1-16, June.
- Arkadiusz Górski & Katarzyna GwóŸdŸ, 2014, "Fuzzy Numbers In Valuation Of Real Investment Profitability," "e-Finanse", University of Information Technology and Management, Institute of Financial Research and Analysis, volume 10, issue 1, pages 17-26, June.
- Dariusz Stach, 2014, "Debt Collection Prevention Management Of Receivables/Debts In A Company," "e-Finanse", University of Information Technology and Management, Institute of Financial Research and Analysis, volume 10, issue 2, pages 71-82, August.
- Damian KaŸmierczak & Jakub Marsza³ek, 2014, "The Use Of Exchangeable Bonds During The Privatization Process," "e-Finanse", University of Information Technology and Management, Institute of Financial Research and Analysis, volume 9, issue 4, pages 86-95, April.
- Amandha Ganegoda & John Evans, 2014, "A framework to manage the measurable, immeasurable and the unidentifiable financial risk," Australian Journal of Management, Australian School of Business, volume 39, issue 1, pages 5-34, February, DOI: 10.1177/0312896212461033.
- Hardjo Koerniadi & Chandrasekhar Krishnamurti & Alireza Tourani-Rad, 2014, "Corporate governance and risk-taking in New Zealand," Australian Journal of Management, Australian School of Business, volume 39, issue 2, pages 227-245, May, DOI: 10.1177/0312896213478332.
- Khoa TA Hoang & Robert Faff & Mamiza Haq, 2014, "Market discipline and bank risk taking," Australian Journal of Management, Australian School of Business, volume 39, issue 3, pages 327-350, August, DOI: 10.1177/0312896213496800.
- Padmasai Arora, 2014, "Reforms, Ownership and Determinants of Efficiency: An Empirical Study of Commercial Banks in India," Journal of Emerging Market Finance, Institute for Financial Management and Research, volume 13, issue 1, pages 103-138, April, DOI: 10.1177/0974910114534026.
- Wesley Mendes-Da-Silva & Luciana Massaro Onusic & Daniel Reed Bergmann, 2014, "The Influence of E-disclosure on the Ex-Ante Cost of Capital of Listed Companies in Brazil," Journal of Emerging Market Finance, Institute for Financial Management and Research, volume 13, issue 3, pages 335-365, December, DOI: 10.1177/0972652714550928.
- Praveen Bhagawan M. & P.J. Jijo Lukose, 2014, "Currency Exposure and Hedging Practices among Indian Non-financial Firms," Foreign Trade Review, , volume 49, issue 3, pages 247-262, August, DOI: 10.1177/0015732514539202.
- Dimitris P. Sotiropoulos & Spyros Lapatsioras, 2014, "Financialization and Marx," Review of Radical Political Economics, Union for Radical Political Economics, volume 46, issue 1, pages 87-101, March.
- Debabrata Datta & Santanu K. Ganguli & Manu Chaturvedi, 2014, "Announcement Effect of Dividend in Presence of Dividend Tax: Possible Agency Problem and Macro Level Inefficiency?," South Asian Journal of Macroeconomics and Public Finance, , volume 3, issue 2, pages 195-220, December, DOI: 10.1177/2277978714548634.
- Тайшин А. А., 2014, "Применение модели KMV для оценки кредитного риска индивидуальных предпринимателей. Application of KMV model to assess credit risk of individual entrepreneurs," Мир экономики и управления // Вестник НГУ. Cерия: Cоциально-экономические науки, Socionet;Новосибирский государственный университет, volume 14, issue 3, pages 22-31.
- Ksenija Dencic-Mihajlov, 2014, "Profitability During the Financial Crisis Evidence from the Regulated Capital Market in Serbia," South-Eastern Europe Journal of Economics, Association of Economic Universities of South and Eastern Europe and the Black Sea Region, volume 12, issue 1, pages 7-33.
- Barbara Blaszczyk, 2014, "Employee financial participation in businesses: Is it worth discussing?," CASE Network Studies and Analyses, CASE-Center for Social and Economic Research, number 0472, Apr.
- Leandro D’Aurizio & Tommaso Oliviero & Livio Romano, 2014, "Family Firms, Soft Information and Bank Lending in a Financial Crisis," CSEF Working Papers, Centre for Studies in Economics and Finance (CSEF), University of Naples, Italy, number 357, Mar.
- Salvatore Piccolo & Giancarlo Spagnolo, 2014, "Debt, Managers and Cartels," CSEF Working Papers, Centre for Studies in Economics and Finance (CSEF), University of Naples, Italy, number 365, Jun.
- Andrew Ellul & Marco Pagano & Fabiano Schivardi, 2014, "Employment and Wage Insurance within Firms: Worldwide Evidence," CSEF Working Papers, Centre for Studies in Economics and Finance (CSEF), University of Naples, Italy, number 369, Jul, revised 16 Sep 2017.
- Joanna B?ach & Monika Wieczorek-Kosmala & Maria Gorczy?ska & Anna Do?, 2014, "Innovations in transferring insurable risk to capital markets ? Insurance-Linked Securities (ILS) application by the non-financial companies," Proceedings of International Academic Conferences, International Institute of Social and Economic Sciences, number 0201608, Jun.
- Monika Wieczorek-Kosmala & Joanna B?ach & Maria Gorczy?ska & Anna Do?, 2014, "Innovations in transferring insurable risk to capital markets ? Insurance-Linked Securities (ILS) application by the non-financial companies," Proceedings of International Academic Conferences, International Institute of Social and Economic Sciences, number 0201628, Jun.
- Nina Ponikvar & Katja Zajc Kej?ar & Darja Peljhan, 2014, "Financial constraints and modes of market exit in Slovenian manufacturing and service firms," Proceedings of International Academic Conferences, International Institute of Social and Economic Sciences, number 0300069, Jul.
- Yunus Ceran & Gamze ?ekero?lu & Merve Öz, 2014, "Stock Financing as an Alternative Financing Technique and its Applicability in Turkey," Proceedings of International Academic Conferences, International Institute of Social and Economic Sciences, number 0902954, Dec.
- Ginés Hernández-Cánovas & Ana Mol-Gómez-Váquez & Johanna Koëter-Kant, 2014, "Legal and institutional determinants of factoring in SMEs: Empirical analysis across 25 European countries," Proceedings of Economics and Finance Conferences, International Institute of Social and Economic Sciences, number 0401481, Jul.
- Jie Dai, 2014, "Assessing Solvency of Financial Institutions: An Option-theoretic Approach," Proceedings of Economics and Finance Conferences, International Institute of Social and Economic Sciences, number 0401522, Jul.
- Pankaj Kumar Gupta & Jasjit Bhatia, 2014, "Investment Behavior in Post-Crisis Period ? Comparison of Indian Publics and Private Firms," Proceedings of Economics and Finance Conferences, International Institute of Social and Economic Sciences, number 0401660, Jul.
- Tellez Gaytán, Jesús Cuauhtémoc & Serrano Acevedo, María Eugenia & Rico Arias, Jaime Ángel, 2014, "Modelación del clima bajo un proceso estocástico de reversión a la media estacional / Modeling weather under a seasonal mean reversion stochastic process," Estocástica: finanzas y riesgo, Departamento de Administración de la Universidad Autónoma Metropolitana Unidad Azcapotzalco, volume 4, issue 1, pages 9-32, enero-jun.
- Hermosillo Ramírez, Fernando Gamaliel & Sierra Juárez, Guillermo, 2014, "Estimación alternativa de una prima de seguro de gastos médicos mayores bajo el contexto de las opciones financieras / Alternative estimation of major medical expensive prime in the financial options context," Estocástica: finanzas y riesgo, Departamento de Administración de la Universidad Autónoma Metropolitana Unidad Azcapotzalco, volume 4, issue 2, pages 123-154, julio-dic.
- Climent Hernández, José Antonio, 2014, "La ecuación de segundo grado en la estimación de parámetros de la martingala y la valuación de opciones americanas a través de la programación dinámica estocástica / The quadratic equation in the parameter estimation of the riskless probability and t," Estocástica: finanzas y riesgo, Departamento de Administración de la Universidad Autónoma Metropolitana Unidad Azcapotzalco, volume 4, issue 2, pages 155-190, julio-dic.
- Alicja Bisewska, 2014, "Zagrożenia wynikające z ingerencji państwa w chiński system bankowy," Gospodarka Narodowa. The Polish Journal of Economics, Warsaw School of Economics, issue 1, pages 33-51.
- Agata Adamska & Piotr Urbanek, 2014, "Fundusze inwestycyjne w nadzorze korporacyjnym w polskich spółkach publicznych," Gospodarka Narodowa. The Polish Journal of Economics, Warsaw School of Economics, issue 2, pages 81-102.
- Renata Karkowska, 2014, "The Analytical Framework For Identifying And Benchmarking Systemically Important Financial Institutions In Europe," Faculty of Management Working Paper Series, University of Warsaw, Faculty of Management, number 42014, Sep.
- Malgorzata Olszak & Mateusz Pipien & Sylwia Roszkowska & Iwona Kowalska, 2014, "The effects of capital on bank lending in large EU banks – the role of procyclicality, income smoothing, regulations and supervision," Faculty of Management Working Paper Series, University of Warsaw, Faculty of Management, number 52014, Dec.
- Renata Karkowska, 2014, "Identyfikacja i analiza porównawcza instytucji systemowo wa¿nych w Europie. (The analytical framework for identifying and benchmarking systemically important financial institutions in Europe.)," Problemy Zarzadzania, University of Warsaw, Faculty of Management, volume 12, issue 48, pages 25-40.
- Marian Gorski & Jakub Gorka (ed.), 2014, "Wybrane problemy polityki monetarnej i fiskalnej (Selected problems of monetary and fiscal policy)," Book, University of Warsaw, Faculty of Management, number 05.
- Patrycja Chodnicka & Renata Karkowska & Malgorzata Olszak (ed.), 2014, "Towards contemporary issues in the financial system," Book, University of Warsaw, Faculty of Management, number 07.
- Xiaosong Zheng, 2014, "The Application Of Economic Value Added On Performance Evaluation Of Listed Banks In China," Journal of Academic Research in Economics, Spiru Haret University, Faculty of Accounting and Financial Management Constanta, volume 6, issue 1 (March), pages 103-118.
- Barbara M. Fraumeni, 2014, "Frontiers and Opportunities in Productivity Research," International Productivity Monitor, Centre for the Study of Living Standards, volume 27, pages 20-21, Fall.
- Benoît D'Udekem, 2014, "Bank Cash Holdings and Investor Uncertainty," Working Papers CEB, ULB -- Universite Libre de Bruxelles, number 14-002, Jan.
- Quan-Hoang Vuong, 2014, "Operational scales, sources of finance, and firms’ performance: evidence from Vietnamese longitudinal data," Working Papers CEB, ULB -- Universite Libre de Bruxelles, number 14-017, Jul.
- İhsan KULALI, 2014, "Muhasebe Temelli Tahmin Modelleri Işığında, Finansal Sıkıntı ve İflasın Karşılaştırılması," Sosyoekonomi Journal, Sosyoekonomi Society, issue 22(22).
- Elenko Zahariev, 2014, "Empirical Investigation of Industrial Management," Journal of Economic Development, Environment and People, Alliance of Central-Eastern European Universities, volume 3, issue 2, pages 5-26, June.
- Alexander Karminsky & Alexander Kostrov, 2014, "The probability of default in Russian banking," Eurasian Economic Review, Springer;Eurasia Business and Economics Society, volume 4, issue 1, pages 81-98, June, DOI: 10.1007/s40822-014-0005-2.
- Marco Lau & Yongyang Su & Na Tan & Zhe Zhang, 2014, "Hedging China’s energy oil market risks," Eurasian Economic Review, Springer;Eurasia Business and Economics Society, volume 4, issue 1, pages 99-112, June, DOI: 10.1007/s40822-014-0003-4.
- Trong Ngo & Andrew Mullineux & Anh Ly, 2014, "The impact of scale of operation on financial performance in microfinance," Eurasian Economic Review, Springer;Eurasia Business and Economics Society, volume 4, issue 2, pages 177-198, December, DOI: 10.1007/s40822-014-0011-4.
- Alessandro Zeli, 2014, "The financial distress indicators trend in Italy: an analysis of medium-size enterprises," Eurasian Economic Review, Springer;Eurasia Business and Economics Society, volume 4, issue 2, pages 199-221, December, DOI: 10.1007/s40822-014-0010-5.
- Teemu Pennanen, 2014, "Optimal investment and contingent claim valuation in illiquid markets," Finance and Stochastics, Springer, volume 18, issue 4, pages 733-754, October, DOI: 10.1007/s00780-014-0240-0.
- Shaif Jarallah & Wali Ullah, 2014, "Evolving corporate governance and the dividends behaviour regime in Japan," International Review of Economics, Springer;Happiness Economics and Interpersonal Relations (HEIRS), volume 61, issue 3, pages 279-303, September, DOI: 10.1007/s12232-014-0195-7.
- Mark Mietzner & Denis Schweizer, 2014, "Hedge funds versus private equity funds as shareholder activists in Germany — differences in value creation," Journal of Economics and Finance, Springer;Academy of Economics and Finance, volume 38, issue 2, pages 181-208, April, DOI: 10.1007/s12197-011-9203-x.
- Robert Hull & Sungkyu Kwak & Rosemary Walker, 2014, "Hedge fund attributes and volatility around equity offerings," Journal of Economics and Finance, Springer;Academy of Economics and Finance, volume 38, issue 3, pages 359-382, July, DOI: 10.1007/s12197-011-9221-8.
- Fei Leng & Kevin Zhao, 2014, "Insider trading around open-market share repurchases," Journal of Economics and Finance, Springer;Academy of Economics and Finance, volume 38, issue 3, pages 461-491, July, DOI: 10.1007/s12197-012-9227-x.
- Anders Grosen & Pernille Jessen & Thomas Kokholm, 2014, "An asset protection scheme for banks exposed to troubled loan portfolios," Journal of Economics and Finance, Springer;Academy of Economics and Finance, volume 38, issue 4, pages 568-588, October, DOI: 10.1007/s12197-012-9233-z.
- Yong Wang, 2014, "The impact of private benefits on institutional ownership change: evidence from markets with different sentiments," Journal of Economics and Finance, Springer;Academy of Economics and Finance, volume 38, issue 4, pages 609-626, October, DOI: 10.1007/s12197-012-9235-x.
- Amnon Schreiber, 2014, "Economic indices of absolute and relative riskiness," Economic Theory, Springer;Society for the Advancement of Economic Theory (SAET), volume 56, issue 2, pages 309-331, June, DOI: 10.1007/s00199-013-0784-9.
- Jürgen Eichberger & Klaus Rheinberger & Martin Summer, 2014, "Credit risk in general equilibrium," Economic Theory, Springer;Society for the Advancement of Economic Theory (SAET), volume 57, issue 2, pages 407-435, October, DOI: 10.1007/s00199-014-0822-2.
- João Teixeira, 2014, "Outsourcing with debt financing," Portuguese Economic Journal, Springer;Instituto Superior de Economia e Gestao, volume 13, issue 1, pages 1-24, April, DOI: 10.1007/s10258-014-0095-5.
- Zhiyan Cao & Ganapathi S. Narayanamoorthy, 2014, "Accounting and litigation risk: evidence from Directors’ and Officers’ insurance pricing," Review of Accounting Studies, Springer, volume 19, issue 1, pages 1-42, March, DOI: 10.1007/s11142-013-9249-4.
- Diana R. Franz & Hassan R. HassabElnaby & Gerald J. Lobo, 2014, "Impact of proximity to debt covenant violation on earnings management," Review of Accounting Studies, Springer, volume 19, issue 1, pages 473-505, March, DOI: 10.1007/s11142-013-9252-9.
- Heng An & Yul W. Lee & Ting Zhang, 2014, "Do corporations manage earnings to meet/exceed analyst forecasts? Evidence from pension plan assumption changes," Review of Accounting Studies, Springer, volume 19, issue 2, pages 698-735, June, DOI: 10.1007/s11142-013-9261-8.
- Yiwei Dou & Yanju Liu & Gordon Richardson & Dushyantkumar Vyas, 2014, "The risk-relevance of securitizations during the recent financial crisis," Review of Accounting Studies, Springer, volume 19, issue 2, pages 839-876, June, DOI: 10.1007/s11142-013-9265-4.
- Rong Huang & Carol A. Marquardt & Bo Zhang, 2014, "Why do managers avoid EPS dilution? Evidence from debt–equity choice," Review of Accounting Studies, Springer, volume 19, issue 2, pages 877-912, June, DOI: 10.1007/s11142-013-9266-3.
- Alnoor Bhimani & Mohamed Azzim Gulamhussen & Samuel Rocha Lopes, 2014, "Owner liability and financial reporting information as predictors of firm default in bank loans," Review of Accounting Studies, Springer, volume 19, issue 2, pages 769-804, June, DOI: 10.1007/s11142-013-9269-0.
- Jeffrey Ng & Sugata Roychowdhury, 2014, "Do loan loss reserves behave like capital? Evidence from recent bank failures," Review of Accounting Studies, Springer, volume 19, issue 3, pages 1234-1279, September, DOI: 10.1007/s11142-014-9281-z.
- Kevin K. Li & Partha Mohanram, 2014, "Evaluating cross-sectional forecasting models for implied cost of capital," Review of Accounting Studies, Springer, volume 19, issue 3, pages 1152-1185, September, DOI: 10.1007/s11142-014-9282-y.
- Gregory Dow, 2014, "Partnership markets with adverse selection," Review of Economic Design, Springer;Society for Economic Design, volume 18, issue 2, pages 105-126, June, DOI: 10.1007/s10058-013-0145-y.
- Hans Friderichs, 2014, "Unternehmensanalyse im Zeichen zunehmender Internationalisierung der deutschen Wirtschaft," Wirtschaftsdienst, Springer;ZBW - Leibniz Information Centre for Economics, volume 94, issue 11, pages 813-820, November, DOI: 10.1007/s10273-014-1752-0.
- Marita Balks & Philipp Breloh, 2014, "Risikobewertung bei Investitionen in Offshore-Windanlagen," Wirtschaftsdienst, Springer;ZBW - Leibniz Information Centre for Economics, volume 94, issue 1, pages 26-33, January, DOI: 10.1007/s10273-014-1621-x.
- Marita Balks & Philipp Breloh, 2014, "Auswirkungen des neuen Erneuerbare-Energien-Gesetzes auf Offshore-Wind-Investitionen," Wirtschaftsdienst, Springer;ZBW - Leibniz Information Centre for Economics, volume 94, issue 7, pages 520-523, July, DOI: 10.1007/s10273-014-1707-5.
- Angelo Secchi & Federico Tamagni & Chiara Tomasi, 2014, "Financial constraints and firm exports: accounting for heterogeneity, self-selection and endogeneity," LEM Papers Series, Laboratory of Economics and Management (LEM), Sant'Anna School of Advanced Studies, Pisa, Italy, number 2014/16, Sep.
- Kristina Garškaitė-Milvydienė, 2014, "Anti-crisis management of enterprises as precondition of sustainable entrepreneurship," Entrepreneurship and Sustainability Issues, VsI Entrepreneurship and Sustainability Center, volume 1, issue 4, pages 187-203, June, DOI: 10.9770/jesi.2014.1.4(1).
- Ziemowit Bednarek & Marian Moszoro, 2014, "The Arrow--Lind theorem revisited: ownership concentration and valuation," Applied Financial Economics, Taylor & Francis Journals, volume 24, issue 5, pages 357-375, March, DOI: 10.1080/09603107.2013.877569.
- Theoharry Grammatikos & Robert Vermeulen, 2014, "The 2007--2009 financial crisis: changing market dynamics and the impact of credit supply and aggregate demand sensitivity," Applied Economics, Taylor & Francis Journals, volume 46, issue 8, pages 895-911, March, DOI: 10.1080/00036846.2013.859379.
- Rasyad A. Parinduri, 2014, "Family Hardship and the Growth of Micro and Small Firms in Indonesia," Bulletin of Indonesian Economic Studies, Taylor & Francis Journals, volume 50, issue 1, pages 53-73, April, DOI: 10.1080/00074918.2014.896237.
- Henk Berkman & Rebel A. Cole & Lawrence J. Fu, 2014, "Improving corporate governance where the State is the controlling block holder: evidence from China," The European Journal of Finance, Taylor & Francis Journals, volume 20, issue 7-9, pages 752-777, September, DOI: 10.1080/1351847X.2012.671784.
- Kay Blaufus & Axel Möhlmann, 2014, "Security Returns and Tax Aversion Bias: Behavioral Responses to Tax Labels," Journal of Behavioral Finance, Taylor & Francis Journals, volume 15, issue 1, pages 56-69, January, DOI: 10.1080/15427560.2014.877017.
- André Lucas & Bernd Schwaab & Xin Zhang, 2014, "Conditional Euro Area Sovereign Default Risk," Journal of Business & Economic Statistics, Taylor & Francis Journals, volume 32, issue 2, pages 271-284, April, DOI: 10.1080/07350015.2013.873540.
- Elisabete Gomes Santana F�lix & Cesaltina Pacheco Pires & Mohamed Azzim Gulamhussen, 2014, "The exit decision in the European venture capital market," Quantitative Finance, Taylor & Francis Journals, volume 14, issue 6, pages 1115-1130, June, DOI: 10.1080/14697688.2012.714903.
- Barbara Choroś-Tomczyk & Wolfgang Karl H�rdle & Ludger Overbeck, 2014, "Copula dynamics in CDOs," Quantitative Finance, Taylor & Francis Journals, volume 14, issue 9, pages 1573-1585, September, DOI: 10.1080/14697688.2013.847280.
- Chowdhury, Biplob & Dungey, Mardi & Pham, Thu Phuong, 2014, "The impact of post-IPO changes in corporate governance mechanisms on firm performance: evidence from young Australian firms," Working Papers, University of Tasmania, Tasmanian School of Business and Economics, number 2014-11, Oct, revised 24 Sep 2014.
- Jennifer Blouin & Harry Huizinga & Luc Laeven & Gaëtan Nicodème, 2014, "Thin Capitalization Rules and Multinational Firm Capital Structure," Taxation Papers, Directorate General Taxation and Customs Union, European Commission, number 42, Jan.
- Giuseppina Cannas & Jessica Cariboni & Massimo Marchesi & Gaëtan Nicodème & Marco Petracco Giudici & Stefano Zedda, 2014, "Financial Activities Taxes, Bank Levies and Systemic Risk," Taxation Papers, Directorate General Taxation and Customs Union, European Commission, number 43, Apr.
- Ernesto Zangari, 2014, "Addressing the Debt Bias: A Comparison between the Belgian and the Italian ACE Systems," Taxation Papers, Directorate General Taxation and Customs Union, European Commission, number 44, Jul.
- Sven Langedijk & Gaëtan Nicodème & Andrea Pagano & Alessandro Rossi, 2014, "Debt Bias in Corporate Taxation and the Costs of Banking Crises in the EU," Taxation Papers, Directorate General Taxation and Customs Union, European Commission, number 50, Oct.
- Kurmas Akdogan & Burcu Deniz Yildirim, 2014, "Non-core Liabilities as an Indicator of Systemic Risk and a Liquidity Stress Test Application on Turkish Banking System," Working Papers, Research and Monetary Policy Department, Central Bank of the Republic of Turkey, number 1412.
- Bulent Koksal & Cuneyt Orman, 2014, "Determinants of Capital Structure : Evidence from a Major Developing Economy," Working Papers, Research and Monetary Policy Department, Central Bank of the Republic of Turkey, number 1426.
- Fatih Altunok & Arif Oduncu, 2014, "Firm Leverage and the Financial Crisis," Working Papers, Research and Monetary Policy Department, Central Bank of the Republic of Turkey, number 1427.
- Arito Ono & Hirofumi Uchida & Gregory Udell & Iichiro Uesugi, 2014, "Lending Pro-Cyclicality and Macro-Prudential Policy: Evidence from Japanese LTV Ratios," Working Papers, Tokyo Center for Economic Research, number e070, Jan.
Printed from https://ideas.repec.org/j/G32-91.html