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Results (361–380 out of 1997)
An Empirical Analysis of Segmented Pricing of Bond Systematic Risk
Credit and Capital Markets – Kredit und Kapital, Vol. 47 (2014), Iss. 3 : pp. 439–464
Do Large TARGET2 Balances Bear Risks for the Euro Area?
Credit and Capital Markets – Kredit und Kapital, Vol. 55 (2022), Iss. 1 : pp. 3–34
Sind die Zinsprognosen von Finanzmarktexperten rational?
Credit and Capital Markets – Kredit und Kapital, Vol. 21 (1988), Iss. 2 : pp. 288–303
Inhalt
Credit and Capital Markets – Kredit und Kapital, Vol. 21 (1988), Iss. 1 : pp. 1–2
Buchbesprechungen
Credit and Capital Markets – Kredit und Kapital, Vol. 34 (2001), Iss. 1 : pp. 137–142
Issues of Post-Keynesian Monetary Analysıs. A Contribution to the Discussion Opened by Professor Thomas Mayer
Credit and Capital Markets – Kredit und Kapital, Vol. 9 (1976), Iss. 1 : pp. 24–55
Analyse einer geld- und kreditpolitischen Konzeption der Deutschen Bundesbank für die Jahre 1958 bis etwa 1970
Credit and Capital Markets – Kredit und Kapital, Vol. 8 (1975), Iss. 4 : pp. 450–472
44. Konstanzer Seminar zur Geldtheorie und Geldpolitik 2013
Credit and Capital Markets – Kredit und Kapital, Vol. 46 (2013), Iss. 4 : pp. 555–564
Financing Problems of Small Firms in the Manufacturing Sector: The Australian Case
Credit and Capital Markets – Kredit und Kapital, Vol. 9 (1976), Iss. 3 : pp. 384–415
Ökonomische Aspekte der Portfolio-Selection-Theorie
Credit and Capital Markets – Kredit und Kapital, Vol. 6 (1973), Iss. 1 : pp. 1–27
Inhalt
Credit and Capital Markets – Kredit und Kapital, Vol. 16 (1983), Iss. 4 : pp. 441–442
Inhalt
Credit and Capital Markets – Kredit und Kapital, Vol. 31 (1998), Iss. 4 : pp. 471–472
An Econometric Investigation of Currency Substitution and Capital Mobility in a Two-Country Portfolio-Balance Financial Asset Model
Credit and Capital Markets – Kredit und Kapital, Vol. 41 (2008), Iss. 3 : pp. 333–354
Insiderhandel am Markt für Kaufoptionen (Teil I)
Eine empirische Studie
Credit and Capital Markets – Kredit und Kapital, Vol. 27 (1994), Iss. 3 : pp. 396–436
Internationale Risikoteilung und finanzielle Integration in der Europäischen Währungsunion
Vierteljahrshefte zur Wirtschaftsforschung, Vol. 79 (2010), Iss. 4 : pp. 75–84
Corporate Social Irresponsibility and Credit Risk Prediction: A Machine Learning Approach
Credit and Capital Markets – Kredit und Kapital, Vol. 53 (2020), Iss. 4 : pp. 513–554
Buchbesprechungen
Journal of Contextual Economics – Schmollers Jahrbuch, Vol. 108 (1988), Iss. 2 : pp. 287–324
Währungsoptionsscheine und der Rückerstattung-Währungsoptionsschein (RWOS — money-back currency warrant) der Nordiska Investeringsbanken (NIB)
Credit and Capital Markets – Kredit und Kapital, Vol. 22 (1989), Iss. 2 : pp. 239–266