Systemic risk and CO2 emissions in the U.S.
|
2023 |
Kanas, Angelos |
Addressing spillovers from prolonged U.S. monetary policy easing
|
2023 |
Cecchetti, Stephen G. |
Monetary policy uncertainty and corporate cash holdings : evidence from China
|
2023 |
Han, Haozhe |
Bank risk-taking in emerging economies : empirical evidence and theory
|
2023 |
Pozo, Jorge |
How effective are bad bank resolutions? : new evidence from Europe
|
2023 |
Brei, Michael |
Deal! Market reactions to the agreement on the EU Covid-19 recovery fund
|
2023 |
Pancotto, Livia |
Gender diversity in leadership : empirical evidence on firm credit risk
|
2023 |
Aguir, Iness |
Social capital and dividend policies in US corporations
|
2023 |
Hoi, Chun-keung |
Small business lending and the bank-branch network
|
2023 |
Petkov, Ivan |
Does headquarters location matter in corporate tax avoidance?
|
2023 |
Hossain, Mahmud |
Deposit insurance and market discipline
|
2023 |
Quintero-V, Juan C. |
Regulatory oversight and bank risk
|
2023 |
Chronopoulos, Dimitris K. |
Bank regulations and surges and stops in credit : panel evidence
|
2023 |
Thornton, John |
CEO power, bank risk-taking and national culture : international evidence
|
2023 |
Kashefi Pour, Eilnaz |
Bank competition and credit risk : the case of Peru
|
2023 |
Pozo, Jorge |
Lender individualism and monitoring : evidence from syndicated loans
|
2023 |
Bermpei, Theodora |
Effects and conduct of macroprudential policy in China
|
2023 |
Kim, So-yŏng |
Sovereign portfolio composition and bank risk : the case of European banks
|
2023 |
Baziki, Selva Bahar |
The impact of Bank of Japan's exchange-traded fund purchases
|
2023 |
Hattori, Takahiro |
Portfolio diversification during the COVID-19 pandemic : do vaccinations matter?
|
2023 |
Pham, Son Duy |