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Reprint of: The asymmetric effect of international swap lines on banks in emerging markets

JOURNAL ARTICLE published October 2017 in Journal of Banking & Finance

Authors: Alin Marius Andrieș | Andreas M. Fischer | Pınar Yeșin

A critical level of commercial bank concentration

JOURNAL ARTICLE published December 1980 in Journal of Banking & Finance

Authors: Alan S. McCall | Manfred O. Peterson

US business credit sources, demand deposits, and the ‘missing money’

JOURNAL ARTICLE published June 1992 in Journal of Banking & Finance

Authors: John V. Duca

A credit risk model for large dimensional portfolios with application to economic capital

JOURNAL ARTICLE published August 2006 in Journal of Banking & Finance

Authors: Kaj Nyström | Jimmy Skoglund

Do all new brooms sweep clean? Evidence for outside bank appointments

JOURNAL ARTICLE published November 2017 in Journal of Banking & Finance

Authors: Thomas Kick | Inge Nehring | Andrea Schertler

The measurement of option mispricing

JOURNAL ARTICLE published December 1988 in Journal of Banking & Finance

Authors: Dan W. French | Linda J. Martin

US day-of-the-week effects and asymmetric responses to macroeconomic news

JOURNAL ARTICLE published May 1998 in Journal of Banking & Finance

Authors: Eric C. Chang | J. Michael Pinegar | R. Ravichandran

Stocks versus bonds for the long run when a riskless asset is available

JOURNAL ARTICLE published December 2021 in Journal of Banking & Finance

Authors: Haim Levy | Moshe Levy

Investment decisions and internal capital markets: Evidence from acquisitions

JOURNAL ARTICLE published August 2008 in Journal of Banking & Finance

Authors: John A. Doukas | Ozgur B. Kan

Marginals versus copulas: Which account for more model risk in multivariate risk forecasting?

JOURNAL ARTICLE published January 2024 in Journal of Banking & Finance

Authors: Simon Fritzsch | Maike Timphus | Gregor Weiß

Stock market development and the financing role of IPOs in acquisitions

JOURNAL ARTICLE published January 2019 in Journal of Banking & Finance

Authors: Nihat Aktas | Kathleen Andries | Ettore Croci | Ali Ozdakak

Assessing the FDIC's premium and examination policies using ‘Soviet’ put options

JOURNAL ARTICLE published May 1996 in Journal of Banking & Finance

Authors: T.W. Epps | Lawrence B. Pulley | David B. Humphrey

Crisis dynamics of implied default recovery ratios: Evidence from Russia and Argentina

JOURNAL ARTICLE published October 2001 in Journal of Banking & Finance

Authors: John J Merrick Jr

Modelling implied volatility with OLS and panel data models

JOURNAL ARTICLE published January 1996 in Journal of Banking & Finance

Authors: Mthuli Ncube

Option-implied correlation between iTraxx Europe Financials and Non-Financials Indexes: A measure of spillover effect in European debt crisis

JOURNAL ARTICLE published September 2013 in Journal of Banking & Finance

Authors: Cho-Hoi Hui | Chi-Fai Lo | Chun-Sing Lau

Bank instability: Interbank linkages and the role of disclosure

JOURNAL ARTICLE published January 2022 in Journal of Banking & Finance

Research funded by Austrian Science Fund (SFB F63)

Authors: Christian König-Kersting | Stefan T. Trautmann | Razvan Vlahu

Eliminating entry barriers for the provision of banking services: Evidence from ‘banking correspondents’ in Brazil

JOURNAL ARTICLE published August 2013 in Journal of Banking & Finance

Authors: Juliano Assunção

Forbearance, deposit insurance pricing, and incentive compatible bank regulation

JOURNAL ARTICLE published September 1995 in Journal of Banking & Finance

Authors: S. Nagarajan | C.W. Sealey

On the definition and measurement of bank output

JOURNAL ARTICLE published December 1981 in Journal of Banking & Finance

Authors: Amnon Goldschmidt

Commercial bank balance sheet optimization

JOURNAL ARTICLE published October 1977 in Journal of Banking & Finance

Authors: Hermann Meyer Zu Selhausen