Nikolaos Panigirtzoglou, George Skiadopoulos
págs. 1499-1520
Correlated default with incomplete information
Kay Giesecke
págs. 1521-1545
Risk management of non-maturing liabilities
Jan Willing, Michael Kalkbrener
págs. 1547-1568
págs. 1569-1595
The number and the closeness of bank relationships
Joachim von Rheinbaben, Martin Ruckes
págs. 1597-1615
The implied reserves of the Bank Insurance Fund
Athanasios Episcopos
págs. 1617-1635
Information transmission between the NASDAQ and Asian second board markets
Oliver Meng Rui, Bong-Soo Lee, Steven Shuye Wang
págs. 1637-1670
Scale economies, bank mergers, and electronic payments: A spline function approach
David B. Humphrey, Bent Vale
págs. 1671-1696
Foreign exchange exposure of exporting and importing firms
Vijay Singal, Dilip K. Shome, Mahesh D. Pritamani
págs. 1697-1710
Informed trading and order type
Richard W. Sias, John W. Cooney Jr.
págs. 1711-1743
Structural changes in volatility and stock market development: Evidence for Spain
Juncal Cuñado Eizaguirre, Javier Gomez Biscarri, Fernando Pérez de Gracia Hidalgo
págs. 1745-1773
Foreign bank entry, deregulation and bank efficiency: Lessons from the Australian experience
Jan-Egbert Sturm, Barry Williams
págs. 1775-1799
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