Works matching IS 15723097 AND DT 2013 AND VI 17 AND IP 1
Results: 11
Precautionary Hoarding of Liquidity and Interbank Markets: Evidence from the Subprime Crisis*.
- Published in:
- Review of Finance, 2013, v. 17, n. 1, p. 107, doi. 10.1093/rof/rfs022
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- Article
Dynamic Interactions Between Interest-Rate and Credit Risk: Theory and Evidence on the Credit Default Swap Term Structure*.
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- Review of Finance, 2013, v. 17, n. 1, p. 403, doi. 10.1093/rof/rfr032
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- Article
Bottom-Up Corporate Governance.
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- Review of Finance, 2013, v. 17, n. 1, p. 161, doi. 10.1093/rof/rfs020
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- Article
Payout Policy Choices and Shareholder Investment Horizons*.
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- Review of Finance, 2013, v. 17, n. 1, p. 261, doi. 10.1093/rof/rfr040
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- Article
Mortgage Market Design*.
- Published in:
- Review of Finance, 2013, v. 17, n. 1, p. 1, doi. 10.1093/rof/rfs030
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- Article
Modeling Market Downside Volatility*.
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- Review of Finance, 2013, v. 17, n. 1, p. 443, doi. 10.1093/rof/rfr024
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- Article
A Theory of Net Debt and Transferable Human Capital*.
- Published in:
- Review of Finance, 2013, v. 17, n. 1, p. 321, doi. 10.1093/rof/rfs011
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- Article
Comovement of Newly Added Stocks with National Market Indices: Evidence from Around the World*.
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- Review of Finance, 2013, v. 17, n. 1, p. 203, doi. 10.1093/rof/rfs001
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- Article
The Fundamentals of Commodity Futures Returns.
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- Review of Finance, 2013, v. 17, n. 1, p. 35, doi. 10.1093/rof/rfs019
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- Article
The Effect of Financing Constraints on Risk*.
- Published in:
- Review of Finance, 2013, v. 17, n. 1, p. 229, doi. 10.1093/rof/rfr038
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- Article
How the 52-Week High and Low Affect Option-Implied Volatilities and Stock Return Moments*.
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- Review of Finance, 2013, v. 17, n. 1, p. 369, doi. 10.1093/rof/rfr026
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- Article