Facet browsing currently unavailable
Page 5 of 7110 results
Sort by: relevance publication year
European Group of risk and insurance economists JOURNAL ARTICLE published September 1988 in Journal of Banking & Finance |
The market making of forward contracts with premature delivery provision JOURNAL ARTICLE published October 1990 in Journal of Banking & Finance |
A multiple discriminant analysis of BHC commercial paper ratings JOURNAL ARTICLE published June 1983 in Journal of Banking & Finance |
The role of international banking in the ‘oil surplus’ adjustment process JOURNAL ARTICLE published December 1983 in Journal of Banking & Finance |
In Memoria Giorgio and Emilia Szegő A special issue on institutions, risk measures, and portfolio optimization JOURNAL ARTICLE published July 2022 in Journal of Banking & Finance |
The exchange rate system JOURNAL ARTICLE published June 1985 in Journal of Banking & Finance |
Editorial Board JOURNAL ARTICLE published May 2021 in Journal of Banking & Finance |
Strategic trade when securitized portfolio values are unknown JOURNAL ARTICLE published June 2020 in Journal of Banking & Finance |
Money Banking and the Economy, JOURNAL ARTICLE published September 1996 in Journal of Banking & Finance |
Call for papers: Globalization and Financial Services in Emerging Economies JOURNAL ARTICLE published March 2005 in Journal of Banking & Finance |
A note on market expectations of risk-free rates and volatilities before and after October 1987 JOURNAL ARTICLE published February 1993 in Journal of Banking & Finance |
Editorial Board JOURNAL ARTICLE published December 2018 in Journal of Banking & Finance |
Secrecy, signalling and the accuracy of expectations during the borrowed reserves operating regime JOURNAL ARTICLE published April 1991 in Journal of Banking & Finance |
Are good-news firms riskier than bad-news firms? JOURNAL ARTICLE published May 2012 in Journal of Banking & Finance |
Affiliated and independent banks JOURNAL ARTICLE published December 1981 in Journal of Banking & Finance |
Gold and the Dollar (and the Euro, Pound, and Yen) JOURNAL ARTICLE published August 2011 in Journal of Banking & Finance |
Multiperiod portfolio optimization with multiple risky assets and general transaction costs JOURNAL ARTICLE published August 2016 in Journal of Banking & Finance |
The ADR shadow exchange rate as an early warning indicator for currency crises JOURNAL ARTICLE published November 2009 in Journal of Banking & Finance |
Asymmetric return dynamics and technical trading strategies JOURNAL ARTICLE published February 2005 in Journal of Banking & Finance |
The impact of macroeconomic and regulatory factors on bank efficiency: A non-parametric analysis of Hong Kong’s banking system JOURNAL ARTICLE published May 2006 in Journal of Banking & Finance |