Cross-border capital flows and bank risk-taking
Valeriya Dinger, Daniel Marcel te Kaat
pág. 1
Banking stress test effects on returns and risks
Cenkhan Sahin, Jacob de Haan, Ekaterina Neretina
pág. 2
Academic abilities, education and performance in the stock market
Tõnn Talpsepp, Kristjan Liivamägi, Tarvo Vaarmets
pág. 3
Hedging geopolitical risk with precious metals
Dirk G. Baur, Lee A. Smales
pág. 4
Measuring multi-product banks’ market power using the Lerner index
Sherrill Shaffer, Laura Spierdijk
pág. 5
Comparing with the average: Reference points and market reactions to above-average earnings surprises
Wen He, Yan Li
pág. 6
Modelling extremal dependence for operational risk by a bipartite graph
Oliver Kley, Claudia Klüppelberg, Sandra Paterlini
pág. 7
Evidence of strategic information uncertainty around opportunistic insider purchases
Dewan Rahman, Barry Oliver, Robert Faff
pág. 8
Crisis regulations: The unexpected consequences of floating NAV for money market funds
Kyle D. Allen, Drew B. Winters
pág. 9
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