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Content
2022
2021
2020
2019
2018
- G-2-12 日本個人投資家のリスク性資産への投資行動 : 金融リテラシーの種類や情報源の違いはどんな影響を与えるのか?
by 顔, 菊馨 & 近藤, 隆則 & 白須, 洋子 & 三隅, 隆司
- G-2-11 銀行・企業間関係及び格付け取得とレバレッジの調整速度
by 吉田, 隆 & 小西, 大 & KONISHI, Masaru
- G-2-10 企業間信用が株式リターンの予測可能性に与える影響
by 柳樂, 明伸 & 安田, 行宏 & YASUDA, Yukihiro
- G-1-19 An Equilibrium Model of Term Structures of Bonds and Equities
by TAKAMIZAWA, Hideyuki & 高見澤, 秀幸
- G-2-9 株式分割を通じた名目株価の変化とリターンの共変動
by 柳樂, 明伸
2017
2016
- G-1-17 Some Asymptotic Results for the Yard-Sale Model of Asset Exchange
by KOBAYASHI, Kenta & TAKAOKA, Koichiro
- G-1-16 Shocks and Shock Absorbers in Japanese Bonds and Banks During the Global Financial Crisis
by KIM, Hyonok & WILCOX, James A. & YASUDA, Yukihiro
- G-1-15 Relationships matter: The impact of bank-firm relationships on mergers and acquisitions in Japan
by FRENCH, Joseph & YAN, Juxin & YASUDA, Yukihiro
- G-1-14 Mandatory adoption of business risk disclosure: evidence from Japanese firms
by KIM, Hyonok & YASUDA, Yukihiro
- G-1-13 A new approach to identify the economic effects of disclosure: Information content of business risk disclosures in Japanese firms
by KIM, Hyonok & YASUDA, Yukihiro
- G-1-12 Bank Diversification into the Insurance Business: The Effects of the Deregulation of the Bank-Sales Channel at Japanese Banks
by KONISHI, Masaru & OKUYAMA, Eiji & YASUDA, Yukihiro
- G-1-11 Rollover and Capital Adequacy Requirements
by YASUDA, Yukihiro
- G-1-10 Impacts of Deregulation on Property and Casualty Insurers' Pricing and Risk Taking: Empirical Evidence in Japan
by YASUDA, Yukihiro
- G-2-8 地域銀行のコーポレート・ガバナンスと業績
by 小西, 大 & 齋藤, 巡友 & 李, 婧
- G-2-7 銀行企業間関係・格付け取得とレバレッジの調整速度
by 吉田, 隆 & 小西, 大
2015
2014
2013
2012