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Gruppieren nach: Erscheinungsjahr | Autoren | Keine Sortierung
Springe zu: 2022 | 2020 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | 2010 | 2009 | 2008 | 2005 | 2004 | 1998
Anzahl der Einträge: 21.

2022

Aldasoro, Iñaki ; Hardy, Bryan ; Jager, Maximilian (2022) The Janus face of bank geographic complexity. Journal of Banking & Finance Amsterdam [u.a.] 134 Article 106040 [Zeitschriftenartikel]

2020

Shahriar, Abu Zafar M. ; Unda, Luisa A. ORCID: 0000-0001-7974-4245 ; Alam, Quamrul (2020) Gender differences in the repayment of microcredit: The mediating role of trustworthiness. Journal of Banking & Finance Amsterdam [u.a.] 110 Article 105685 105-685 [Zeitschriftenartikel]

Ruenzi, Stefan ORCID: 0000-0002-6492-1701 ; Ungeheuer, Michael ; Weigert, Florian (2020) Joint extreme events in equity returns and liquidity and their cross-sectional pricing implications. Journal of Banking & Finance Amsterdam [u.a.] 115 Article 105809 [Zeitschriftenartikel]

2017

Franke, Benedikt ; Müller, Sebastian ; Müller, Sonja (2017) The q-factors and expected bond returns. Journal of Banking & Finance Amsterdam [u.a.] 83 19-35 [Zeitschriftenartikel]

2016

Metiu, Norbert ; Hilberg, Björn ; Grill, Michael (2016) Credit constraints and the international propagation of US financial shocks. Journal of Banking & Finance Amsterdam [u.a.] 72 67-80 [Zeitschriftenartikel]

2015

Andres, Christian ; Doumet, Markus ; Fernau, Erik ; Theissen, Erik ORCID: 0000-0003-4460-8168 (2015) The Lintner model revisited: Dividends versus total payouts. Journal of Banking & Finance Amsterdam [u.a.] 55 56-69 [Zeitschriftenartikel]

2014

Merkle, Christoph ; Weber, Martin (2014) Do Investors Put Their Money Where Their Mouth Is? Stock Market Expectations and Investing Behavior. Journal of Banking & Finance Amsterdam [u.a.] 46 372-386 [Zeitschriftenartikel]

2013

Schaub, Nic ; Schmid, Markus (2013) Hedge fund liquidity and performance : Evidence from the financial crisis. Journal of Banking & Finance Amsterdam [u.a.] 37 3 671-692 [Zeitschriftenartikel]

Feld, Lars P. ; Heckemeyer, Jost H. ; Overesch, Michael (2013) Capital Structure Choice and Company Taxation: A Meta-Study. Journal of Banking & Finance Amsterdam [u.a.] 37 8 2850-2866 [Zeitschriftenartikel]

Tarantino, Emanuele (2013) Bankruptcy law and corporate investment decisions. Journal of Banking & Finance Amsterdam [u.a.] 37 7 2490-2500 [Zeitschriftenartikel]

Trapp, Monika ; Wewel, Claudio (2013) Transatlantic systemic risk. Journal of Banking & Finance Amsterdam [u.a.] 37 11 4241-4255 [Zeitschriftenartikel]

2012

Atanasov, Victoria (2012) Downside risk of international stock returns. Journal of Banking & Finance Amsterdam [u.a.] 36 8 2379-2388 [Zeitschriftenartikel]

2011

Bosch, Oliver ; Steffen, Sascha (2011) On syndicate composition, corporate structure and the certification effect of credit ratings. Journal of Banking & Finance Amsterdam [u.a.] 35 2 290-299 [Zeitschriftenartikel]

2010

Foos, Daniel ; Norden, Lars ; Weber, Martin (2010) Loan growth and riskiness of banks. Journal of Banking & Finance Amsterdam [u.a.] 34 12 2929-2940 [Zeitschriftenartikel]

Glaser, Markus ; Müller, Sebastian (2010) Is the diversification discount caused by the book value bias of debt? Journal of Banking & Finance Amsterdam [u.a.] 34 10 2307-2317 [Zeitschriftenartikel]

2009

Weber, Martin ; Grunert, Jens (2009) Recovery rates of commercial lending: Empirical evidence for German companies. Journal of Banking & Finance Amsterdam [u.a.] 33 3 505-513 [Zeitschriftenartikel]

2008

Norden, Lars ; Weber, Martin (2008) Credit derivatives and loan pricing. Journal of Banking & Finance Amsterdam [u.a.] 32 12 2560-2569 [Zeitschriftenartikel]

Jostarndt, Philpp ; Sautner, Zacharias (2008) Financial distress, corporate control, and management turnover. Journal of Banking & Finance Amsterdam [u.a.] 32 10 2188-2204 [Zeitschriftenartikel]

2005

Grunert, Jens ; Norden, Lars ; Weber, Martin (2005) The role of non-financial factors in internal credit ratings. Journal of Banking & Finance Amsterdam [u.a.] 29 2 509-531 [Zeitschriftenartikel]

2004

Norden, Lars ; Weber, Martin (2004) Informational efficiency of credit default swap and stock markets : The impact of credit rating announcements. Journal of Banking & Finance Amsterdam [u.a.] 28 11 2813-2843 [Zeitschriftenartikel]

1998

Machauer, Achim ; Weber, Martin (1998) Bank behavior based on internal credit ratings of borrowers. Journal of Banking & Finance Amsterdam [u.a.] 22 10/11 1355-1383 [Zeitschriftenartikel]

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