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Credit Spreads und ihre Determinanten: Eine empirische Analyse für Deutschland
Credit and Capital Markets – Kredit und Kapital, Vol. 41 (2008), Iss. 1 : pp. 59–78
Currency Convertibility:When and How? A Contribution to the Bulgarian Debate
Credit and Capital Markets – Kredit und Kapital, Vol. 24 (1991), Iss. 3 : pp. 412–431
The Impact of the Bank of Japan’s Low-Interest Rate Policy on the Japanese Banking Sector
Credit and Capital Markets – Kredit und Kapital, Vol. 54 (2021), Iss. 4 : pp. 533–562
The Alternative Three-Factor Model: Evidence from the German Stock Market
Credit and Capital Markets – Kredit und Kapital, Vol. 51 (2018), Iss. 3 : pp. 389–420
New Publications
Credit and Capital Markets – Kredit und Kapital, Vol. 52 (2019), Iss. 2 : pp. 291–294
Some Observations on Analytical Marketing in Banking Research and Practice
Credit and Capital Markets – Kredit und Kapital, Vol. 7 (1974), Iss. 4 : pp. 433–450
Buchbesprechungen
Credit and Capital Markets – Kredit und Kapital, Vol. 45 (2012), Iss. 2 : pp. 277–281
Preisstabilisierende Geldpolitik
Credit and Capital Markets – Kredit und Kapital, Vol. 19 (1986), Iss. 1 : pp. 58–75
New Publications
Credit and Capital Markets – Kredit und Kapital, Vol. 54 (2021), Iss. 2 : pp. 301–305
Bewertung von Länderrisiken durch Optionspreismethoden
Credit and Capital Markets – Kredit und Kapital, Vol. 24 (1991), Iss. 4 : pp. 484–506
Measuring Inflation: Testing Carl Menger’s Concept of the Inner Value of Money
Credit and Capital Markets – Kredit und Kapital, Vol. 34 (2001), Iss. 2 : pp. 197–222
Kreditrisikotransfer – Abbau alter gegen den Aufbau neuer Risiken?
Credit and Capital Markets – Kredit und Kapital, Vol. 40 (2007), Iss. 1 : pp. 1–16
Arbeiten auf Onlineplattformen: Selbständig oder abhängig?
Vierteljahrshefte zur Wirtschaftsforschung, Vol. 85 (2016), Iss. 3 : pp. 19–35
Loss Potential from Credit Derivative Use by Corporate Bond Funds under U.S. and German Regulation – A Cross Country Comparison
Credit and Capital Markets – Kredit und Kapital, Vol. 49 (2016), Iss. 2 : pp. 245–298
The Non-Standard Monetary Policy Measures of the ECB: Motivations, Effectiveness and Risks
Credit and Capital Markets – Kredit und Kapital, Vol. 51 (2018), Iss. 4 : pp. 513–560
Der Abweichungsindikator im EWS
Credit and Capital Markets – Kredit und Kapital, Vol. 13 (1980), Iss. 1 : pp. 83–100
Honesty in Regional Cooperative Banks
Credit and Capital Markets – Kredit und Kapital, Vol. 52 (2019), Iss. 3 : pp. 423–444
Monetary Instability, Lack of Integration, and the Curse of a Commodity Money Standard. The German Lands, c.1400–1900 A. D.
Credit and Capital Markets – Kredit und Kapital, Vol. 47 (2014), Iss. 2 : pp. 297–340
The ECB’s 2019 Liquidity Stress Test: An Event Study Evaluating the Impact on Owners and Creditors
Credit and Capital Markets – Kredit und Kapital, Vol. 54 (2021), Iss. 2 : pp. 223–263
The Double Whammy of Stagflation and Uncertainty
Credit and Capital Markets – Kredit und Kapital, Vol. 16 (1983), Iss. 3 : pp. 297–315