The importance of firm level multinationality in the country versus industry debate
|
2017 |
Mullen, Cormac |
Banking and currency crises : differential diagnostics for developed countries
|
2017 |
Joy, Mark |
Benchmarking judgmentally adjusted forecasts
|
2017 |
Franses, Philip Hans |
Multilateral loans and interest rates : further evidence on the seniority conundrum
|
2017 |
Steinkamp, Sven |
Is there still a Berlin Wall in the post-issue operating performance of European IPOs?
|
2017 |
Pereira, Tiago Pinho |
The role of time-varying return forecasts for improving international diversification benefits
|
2017 |
Miralles-Quirós, María del Mar |
On equity risk prediction and tail spillovers
|
2017 |
Pouliasis, Panos |
Euro effect on trade in final, intermediate and capital goods
|
2017 |
Martínez-Zarzoso, Inmaculada |
Eurozone cycles : an analysis of phase synchronization
|
2017 |
Granville, Brigitte |
Monetary policy and leverage shocks
|
2017 |
Istiak, Khandokar |
Equity flows, stock returns and exchange rates
|
2017 |
Kanas, Angelos |
Corporate governance, bank mergers and executive compensation
|
2017 |
Liu, Yan |
What drives differences of opinion in sovereign ratings? : the roles of information disclosure and political risk
|
2017 |
Huong Vu |
The assessment of the United States quantitative easing policy : evidence from global stock markets
|
2017 |
Su, Jung-Bin |
Economics blogs sentiment and asset prices
|
2017 |
Farina, Vincenzo |
Macro news and commodity returns
|
2017 |
Caporale, Guglielmo Maria |
How fat are the tails of equity market indices?
|
2017 |
Stoyanov, Stoyan V. |
Determinants of long- versus short-term bank credit in EU countries
|
2017 |
Anderson, Haelim Park |
Corporate governance structure and efficiencies of cooperative banks
|
2017 |
Yamori, Nobuyoshi |
Debt spikes, blind spots, and financial stress
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2017 |
Jaramillo, Laura |