Content
2010
- 2010/5 Uncovering the Common Risk Free Rate in the European Monetary Union
by Rien Wagenvoort & Sanne Zwart - 2010/4 Public-Private Partnerships in Europe - Before and During the Recent Financial Crisis
by Andreas Kappeler & Mathieu Nemoz - 2010/3 Macro-fiscal volatility and the composition of public spending
by Sara Maria Riscado & Juraj Stančík & Timo Välilä - 2010/2 changes in the fiscal stance and the composition of public spending
by Juraj Stančík & Timo Välilä - 2010/1 Do spillovers matter when estimating private returns to R&D?
by Markus Eberhardt & Christian Helmers & Hubert Strauss
2009
- 2009/1 EFR 2009-01 A factor analysis approach to measuring European loan and bond market integration
by Rien Wagenvoort & André Ebner & Magdalena Morgese Borys
2008
- 2008/1 Relationship Lending - Empirical Evidence For Germany
by Christoph Memmel & Christian Schmieder & Ingrid Stein
2007
- 2007/3 Public-Private Partnerships In Europe: An Update
by Frederic Blanc-Brude & Hugh Goldsmith & Timo Valila - 2007/2 Composition Of Public Investment And Fiscal Federalism: Panel Data Evidence From Europe
by Andreas Kappeler & Timo Valila - 2007/1 A Primer on Public Investment in Europe, Old and New
by Eric Peree & Timo Valila - 2006/3 Comparing Distributions: The Harmonic Mass Index: Extension to m Samples
by Rien Wagenvoort - 2006/2 Does the hedge fund industry deliver alpha?
by Rien Wagenvoort - 2006/1 Ex Ante Construction Costs In The European Road Sector: A Comparison Of Public-Private Partnerships And Traditional Public Procurement
by Frederic Blanc-Brude & Hugh Goldsmith & Timo Valila
2005
- 2005/3 Transaction Costs In Public-Private Partnerships: A First Look At The Evidence
by Gerti Dudkin & Timo Valila - 2005/2 Fiscal Rules And Public Investment
by Eric Peree & Timo Valila - 2005/1 Evolution And Determinants Of Public Investment In Europe
by Timo Valila & Aaron Mehrotra
2004
- 2004/2 The Turkish Banking Sector - Challenges And Outlook In Transition To Eu Membership
by Alfred Steinherr & Ali Tukel & Murat Ucer - 2004/1 Systemic Credit Risk In The Presence Of Concentration
by Federico Galizia
2003
- 2003/2 Measuring The "Financing Gap" Of European Corporations. An Update
by Federico Galizia - 2003/1 BANK SURVEY EVIDENCE ON "BANK LENDING TO SMEs IN THE EUROPEAN UNION"
by Rien Wagenvoort
2002
- 2002/2 Hedge Accounting Within Ias 39
by Alessandro Rossi & Francesca Canpolongo & Guido Bichisao - 2002/1 Catching The Celtic Tiger By Its Tail
by Luisa Ferreira & Patrick Vanhoudt
2001
- 2001/3 The Euro And Capital Markets: A New Era
by Eric Peree & Alfred Steinherr
2000
- 2000/2 Investment Issues In South-Eastern Europe
by Christopher Hurst & Kristian Uppenberg - 2000/1 Some Empirical Findings On The Characteristics Of Cost-Efficient Credit Institutions
by Dermot O'Brien & Rien Wagenvoort
1999
- 1999/2 The Recursive Thick Frontier Approach to Estimating Efficiency
by Rien Wagenvoort & Paul Schure - 1999/1 Economies of Scale and Efficiency in European Banking: New Evidence
by Rien Wagenvoort & Paul Schure