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Chapter 1) Financial Development and Financial Crises: Lessons from the Early United States; Peter L Rousseau
Chapter 2) Monetary Transmission and Regulatory Impacts: Empirical Evidence from the Post-Crisis Banking Literature; Jakovljević Sanja, Hans Degryse and Steven Ongena
Chapter 3) Market Discipline, Public Disclosure and Financial Stability; Rhiannon Sowerbutts and Peter Zimmerman
Chapter 4) Strategic Monetary and Fiscal Policy Interaction in a Liquidity Trap; Ali al-Nowaihi and Sanjit Dhami
Chapter 5) Analyzing Bank Efficiency: Are ztoo-big-to-faily Banks Efficient?; Hulusi Inanoglu, Michael Jacobs, Jr, Junrong Liu and Robin Sickles
Chapter 6) Efficiency, Competition and the Shadow Price of Capital; Thomas Weyman-Jones
Chapter 7) Model-Free Methods In Valuation And Hedging Of Derivative Securities; Mark H.A. Davis
Chapter 8) The Private Information Price of Risk; Jerome Detemple and Marcel Rindisbacher
Chapter 9) Evolutionary Behavioural Finance; Igor Evstigneev, Thorsten Hens, Klaus Reiner Schenk-Hoppé
Chapter 10) Post-Crisis Macrofinancial Modelling: Continuous Time Approaches; Jukka Isohätälä, Nataliya Klimenko and Alistair Milne
Chapter 11) Recent Results On Operator Techniques In The Description Of Macroscopic Systems; F. Bagarello.

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