nr |
titel |
auteur |
tijdschrift |
jaar |
jaarg. |
afl. |
pagina('s) |
type |
1 |
Assessing systemic risk using interbank exposures in the global banking system
|
Kanno, Masayasu |
|
2015 |
20 |
C |
p. 105-130 26 p. |
artikel |
2 |
Banking-industry specific and regional economic determinants of non-performing loans: Evidence from US states
|
Ghosh, Amit |
|
2015 |
20 |
C |
p. 93-104 12 p. |
artikel |
3 |
Can the “Single Point of Entry” strategy be used to recapitalize a systemically important failing bank?
|
Kupiec, Paul |
|
2015 |
20 |
C |
p. 184-197 14 p. |
artikel |
4 |
Deposit insurance around the world: A comprehensive analysis and database
|
Demirgüç-Kunt, Asli |
|
2015 |
20 |
C |
p. 155-183 29 p. |
artikel |
5 |
Executives’ professional ties along the supply chain: The impact on partnership sustainability and firm risk
|
Sun, Jiong |
|
2015 |
20 |
C |
p. 144-154 11 p. |
artikel |
6 |
How should we measure bank capital adequacy for triggering Prompt Corrective Action? A (simple) proposal
|
Chernykh, Lucy |
|
2015 |
20 |
C |
p. 131-143 13 p. |
artikel |
7 |
Inside Front Cover - Editorial Board - Bottom Half
|
|
|
2015 |
20 |
C |
p. IFC- 1 p. |
artikel |
8 |
Macroeconomic effects on emerging-markets sovereign credit spreads
|
Clark, Ephraim |
|
2015 |
20 |
C |
p. 1-13 13 p. |
artikel |
9 |
Market discipline by bank creditors during the 2008–2010 crisis
|
Bennett, Rosalind L. |
|
2015 |
20 |
C |
p. 51-69 19 p. |
artikel |
10 |
Risk aversion and monetary policy in a global context
|
Nave, Juan M. |
|
2015 |
20 |
C |
p. 14-35 22 p. |
artikel |
11 |
The impact of securitization on credit rationing: Empirical evidence
|
Carbo-Valverde, Santiago |
|
2015 |
20 |
C |
p. 36-50 15 p. |
artikel |
12 |
The multi-layer network nature of systemic risk and its implications for the costs of financial crises
|
Poledna, Sebastian |
|
2015 |
20 |
C |
p. 70-81 12 p. |
artikel |
13 |
Trust, happiness, and households’ financial decisions
|
Delis, Manthos D. |
|
2015 |
20 |
C |
p. 82-92 11 p. |
artikel |