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Regime switching based portfolio selection for pension funds JOURNAL ARTICLE published August 2007 in Journal of Banking & Finance |
The PBGC's flat fee schedule, moral hazard, and promised pension benefits JOURNAL ARTICLE published March 1990 in Journal of Banking & Finance |
Default, market microstructure, and changing trade patterns in forward markets: A case study of North-Sea oil JOURNAL ARTICLE published October 1994 in Journal of Banking & Finance |
Risk allocation under liquidity constraints JOURNAL ARTICLE published December 2014 in Journal of Banking & Finance |
Guarantees, transparency and the interdependency between sovereign and bank default risk JOURNAL ARTICLE published August 2014 in Journal of Banking & Finance |
Brothers from different mothers how distribution fees change investment behavior JOURNAL ARTICLE published February 2015 in Journal of Banking & Finance |
Forecasting portfolio-Value-at-Risk with nonparametric lower tail dependence estimates JOURNAL ARTICLE published May 2015 in Journal of Banking & Finance |
Do hedge funds dynamically manage systematic risk? JOURNAL ARTICLE published March 2016 in Journal of Banking & Finance |
Special purpose entities and bank loan contracting JOURNAL ARTICLE published January 2017 in Journal of Banking & Finance |
Discussion JOURNAL ARTICLE published September 1982 in Journal of Banking & Finance |
CALL FOR PAPERS JOURNAL ARTICLE published February 2014 in Journal of Banking & Finance |
Financial innovation JOURNAL ARTICLE published December 1977 in Journal of Banking & Finance |
List of forthcoming papers JOURNAL ARTICLE published May 1996 in Journal of Banking & Finance |
Assessing bank reform, FDICIA one year layer JOURNAL ARTICLE published May 1996 in Journal of Banking & Finance |
Capital controls and bank risk JOURNAL ARTICLE published September 1991 in Journal of Banking & Finance |
Financial market trends, no. 28, special feature on ‘The impact of the new financial instruments and intermediation techniques on financial market’ JOURNAL ARTICLE published September 1985 in Journal of Banking & Finance |
The predictive performance of the time-series model and the regression model of the income velocity of money JOURNAL ARTICLE published September 1984 in Journal of Banking & Finance |
‘Irrational Exuberance’ Robert J. Shiller, Princeton University Press, Princeton, NJ, 2000, 296 pages, $35. JOURNAL ARTICLE published April 2003 in Journal of Banking & Finance |
Call for papers JOURNAL ARTICLE published September 1980 in Journal of Banking & Finance |
Modeling of CPDOs – Identifying optimal and implied leverage JOURNAL ARTICLE published June 2010 in Journal of Banking & Finance |