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Cross-Sectional Relationship Between Beta and Realized Returns in Emerging Markets
Applied Economics Quarterly, Vol. 65 (2019), Iss. 2 : pp. 115–137
Linking Cap-and-Trade Systems and Green Finance
Vierteljahrshefte zur Wirtschaftsforschung, Vol. 88 (2019), Iss. 2 : pp. 89–100
Pandemic Versus Financial Shocks: Comparison of Two Episodes on the Bitcoin Market
Applied Economics Quarterly, Vol. 67 (2021), Iss. 2 : pp. 113–141
Banking Efficiency and European Financial Integration
Applied Economics Quarterly, Vol. 59 (2013), Iss. 2 : pp. 99–124
Cointegration of EMU Government Bonds in Times of Financial Crises, COVID-19, and High Inflation – The Importance of Sovereign Debt for the European Insurance Industry
Zeitschrift für die gesamte Versicherungswissenschaft, Vol. 112 (2023), Iss. 2 : pp. 181–212
The Cross-Section of Cryptocurrency Risk and Return
Vierteljahrshefte zur Wirtschaftsforschung, Vol. 89 (2020), Iss. 4 : pp. 7–28
Cross-Border Retail Banking: Exploring the Unknown Financial Globalization in Times of Financial Crises
Credit and Capital Markets – Kredit und Kapital, Vol. 46 (2013), Iss. 2 : pp. 247–274
Bank of Japan Interventions and the Volatility of the Dollar/Yen Exchange Rate
Credit and Capital Markets – Kredit und Kapital, Vol. 50 (2017), Iss. 1 : pp. 25–36
Drivers of Socially Responsible Investments Across Europe
Credit and Capital Markets – Kredit und Kapital, Vol. 53 (2020), Iss. 4 : pp. 493–512
Zur Effektivität der Politik der Quantitativen Lockerung am Beispiel des QE1-Programms der US-Fed
Credit and Capital Markets – Kredit und Kapital, Vol. 50 (2017), Iss. 2 : pp. 131–149
Anwendung der Extremwerttheorie zur Quantifizierung von Marktpreisrisiken – Test der Relevanz anhand vergangener Extrembelastungen von DAX und MSCI Europe
Credit and Capital Markets – Kredit und Kapital, Vol. 44 (2011), Iss. 2 : pp. 243–278
Spread Risk Premia in Corporate Credit Default Swap Markets
Credit and Capital Markets – Kredit und Kapital, Vol. 47 (2014), Iss. 4 : pp. 571–610
Will the DAX 50 ESG Establish the Standard for German Sustainable Investments? A Sustainability and Financial Performance Analysis
Credit and Capital Markets – Kredit und Kapital, Vol. 53 (2020), Iss. 4 : pp. 461–491
Länder- versus Brancheneinfluss auf Aktienrenditen: 1973 bis 2002
Credit and Capital Markets – Kredit und Kapital, Vol. 37 (2004), Iss. 2 : pp. 153–168
Equity-Bond Returns Correlation and the Bond Yield: Evidence of Switching Behaviour from the G7 Markets
Credit and Capital Markets – Kredit und Kapital, Vol. 49 (2016), Iss. 3 : pp. 415–444
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
The Potential for Sovereign Wealth Funds to Exert Influence Through Critical Banks in the Five Smallest EU Member States
An Analysis of Malta, Cyprus, Estonia, Latvia and Lithuania
Credit and Capital Markets – Kredit und Kapital, Vol. 53 (2020), Iss. 2 : pp. 187–220
On the Role of International Spillovers from the European Central Bank"s Unconventional Monetary Policy
Credit and Capital Markets – Kredit und Kapital, Vol. 51 (2018), Iss. 1 : pp. 151–170