Browsing by Subject G14

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Showing results 1 to 20 of 22  next >
Issue DateTitleAuthor(s)
16-Oct-2013A "wreckers theory" of financial distress-
16-Oct-2013A Data-Reconstructed Fractional Volatility Model-
16-Oct-2013Accounting for distress in bank mergers-
16-Oct-2013Endogenous credit derivatives and bank behavior-
16-Oct-2013Feedback Trading and Predictability of Stock Returns in Germany, 1880?1913-
16-Oct-2013Foreign Competition and Disintermediation: No Threat to the German Banking System?-
16-Oct-2013Inefficient or just different? Effects of heterogeneity on bank efficiency scores-
16-Oct-2013Learning and signalling in the French and German venture capital industries-
16-Oct-2013Moral hazard and bail-out in fiscal federations: evidence for the German Länder-
16-Oct-2013Non-market interaction in primary equity markets : evidence from France and Germany-
16-Oct-2013Rational information choice in financial market equilibrium-
16-Oct-2013Real-time forecasting and political stock market anomalies: evidence for the U.S.-
16-Oct-2013Sources of Predictability of European Stock Markets for High-Technology Firms-
16-Oct-2013Tail Wags Dog? Time-Varying Information Shares in the Bund Market-
16-Oct-2013Testing mean-variance efficiency in CAPM with possibly non-gaussian errors: an exact simulation-based approach-
16-Oct-2013The Accuracy of Press Reports Regarding the Foreign Exchange Interventions of the Bank of Japan-
16-Oct-2013The effectiveness of the interventions of the Swiss National Bank : an event-study analysis-
16-Oct-2013The existence of informationally efficient markets when individuals are rational-
16-Oct-2013The Impact of Political Risk on Sovereign Bond Spreads - Evidence from Latin America-
16-Oct-2013Theoretische Analyse der Gewinnsituation im deutschen Bankensektor-