Stakeholder orientation, environmental performance and financial benefits
|
2024 |
Koskinen, Yrjö |
Climate change, bank fragility, and systemic risk
|
2024 |
Heo, Yuna |
Bank-affiliated venture capital funds : portfolio selection, strategic objectives, performance and exit
|
2024 |
Murtinu, Samuele |
Sustainable and climate finance : an integrative framework from corporates to markets and society
|
2024 |
Billio, Monica |
Climate change fear : natural disasters and investor behavior
|
2024 |
Fiordelisi, Franco |
Measuring european banks' exposure to climate risk
|
2024 |
Giacchetta, Gianandrea |
Pricing transition risk with a jump-diffusion credit risk model : evidences from the CDS market
|
2024 |
Livieri, Giulia |
Do stock price informativeness and managerial attributes facilitate M&A success?
|
2024 |
Chen, Chen |
Commercial data in financial research
|
2024 |
Berninger, Marc |
Impacts of disease pandemics on corporate cash holdings : evidence from US firms
|
2024 |
Lartey, Theophilus |
Cash holdings and corporate investment : evidence from COVID-19
|
2024 |
Tawiah, Bernard Kwame |
Does climate change exposure matter to stakeholders? : evidence from the costs of high leverage
|
2024 |
El Ghoul, Sadok |
Silicon valley bank demise : causes and the path forward
|
2024 |
Bhagat, Sanjai |
No cryptocurrency experience required : managerial characteristics in cryptocurrency fund performance
|
2023 |
Urquhart, Andrew |
Emerging issues in banking
|
2023 |
Girardone, Claudia |
Global banking performance in the time of COVID-19 : impact on commercial and Islamic banks
|
2023 |
Abdallah, Bashar |
Gender diversity and beyond in corporate finance : where do we stand?
|
2023 |
Falconieri, Sonia |
The inequality of finance
|
2023 |
Adams, Renée |
Environmental concern, regulations and board diversity
|
2023 |
Do, Quynh |
Who pays for financial crises? : price and quantity rationing of publicly-listed and privately-held borrowers
|
2023 |
Berger, Allen N. |