Articolo
Anno: 2012
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Rivista (ID): 3016 ×
Articoli filtrati
Articolo
Anno: 2012
Family Firms and the Agency Cost of Debt: The role of soft information during a crisis
Articolo
Anno: 2012
Financial Crisis Resolution
Articolo
Anno: 2012
Financial Intermediation, Markets, and Alternative Financial Sectors
Articolo
Anno: 2012
Financial Markets as a Commitment Device for the Government
Articolo
Anno: 2012
Granger-Causal Analysis of VARMA-GARCH Models
Articolo
Anno: 2012
Health Selection and the Effect of Smoking on Mortality
Articolo
Anno: 2012
I Prefer Not to Know! Analyzing the decision of getting information about your ability
Articolo
Anno: 2012
The International Risk-Sharing Puzzle is at Business Cycle and Lower Frequency
Articolo
Anno: 2012
Measuring International Risk-Sharing: Theoretical Issues and Empirical Evidence from OECD Countries
Articolo
Anno: 2012
Money, Financial Stability and Efficiency
Articolo
Anno: 2012
Optimal Debt Bias in Corporate Income Taxation
Articolo
Anno: 2012
Peer Effects in Free School Meals: Information or stigma?
Articolo
Anno: 2012
Policy Uncertainty and Investment in Low-Carbon Technology
Articolo
Anno: 2012
Reaction to Technology Shocks in Markov-Switchings Structural VARs: Identification via heteroskedasticity
Articolo
Anno: 2012
Realized Beta GARCH: A Multivariate GARCH model with realized measures of volatility and covolatility
Articolo
Anno: 2012
Referral Networks and the Allocation of Talent
Articolo
Anno: 2012
Resolving the African Financial Development Gap: Cross-country comparisons and a within-country study of Kenya
Articolo
Anno: 2012
Risk-Sharing and Retrading in Incomplete Markets
Articolo
Anno: 2012
