págs. 1-9
págs. 10-21
págs. 22-38
Debt financing and voluntary adoption of the international financial reporting standards: : Evidence from Korean unlisted firms
págs. 39-51
Capital asset pricing model and stochastic volatility: : A Case Study of India
págs. 52-65
FINANDEBT International Conference 2014: : “Debt Crises and Financial Stability: Global Issues and Euro-Mediterranean Perspectives”
págs. 66-69
págs. 70-75
Unconventional monetary policy in the Eurozone: : A lack of forward guidance?
págs. 76-97
Macroeconomic drivers of loan quality in Turkey
Ahmet Faruk Aysan, Huseyin Ozturk, Ali Yavuz Polat, Burak Saltoğlu
págs. 98-109
Beyond the optimistic curse: : A new multiscenario approach to debt sustainability assessment
págs. 110-122
The twin crises: : Determinants of banking and currency crises in the Turkish economy
págs. 123-135
Market valuation effect of foreign asset divestitures in an emerging economy: : Korean evidence
págs. 136-153
Inflation in New EU Member States: : A domestically or externally driven phenomenon?
págs. 154-168
Financial openness, financial frictions, and macroeconomic fluctuations in emerging market economies
págs. 169-187
Measuring takeover premiums in cross-border mergers and acquisitions: : Insights from Turkey
págs. 188-203
Financial policy in practice: : Benchmarking financial sector strategies around the world
págs. 204-222
págs. 223-236
The systemic risk of cross-border banking: : Evidence from the sudden stop and interbank stress contagion in east asia
págs. 237-254
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