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Table of contents of journal: *Journal of banking and finance

Results: 126-150/467

Authors: CHEN AH MAZUMDAR SC
Citation: Ah. Chen et Sc. Mazumdar, A DYNAMIC-MODEL OF FIREWALLS AND NONTRADITIONAL BANKING, Journal of banking & finance, 21(3), 1997, pp. 393-416

Authors: ALEXANDER JC SPIVEY MF MARR MW
Citation: Jc. Alexander et al., NONSHAREHOLDER CONSTITUENCY STATUTES AND SHAREHOLDER WEALTH - A NOTE, Journal of banking & finance, 21(3), 1997, pp. 417-432

Authors: NAIL L
Citation: L. Nail, FOCUS - RIES,A, Journal of banking & finance, 21(3), 1997, pp. 433-435

Authors: LIPSON ML
Citation: Ml. Lipson, WISE CHOICES (DECISIONS, GAMES AND NEGOTIATIONS) - ZECKHAUSER,RJ, KEENEY,RL, SEBENIUS,JK, Journal of banking & finance, 21(3), 1997, pp. 435-437

Authors: CARCANO N FORESI S
Citation: N. Carcano et S. Foresi, HEDGING AGAINST INTEREST-RATE RISK - RECONSIDERING VOLATILITY-ADJUSTED IMMUNIZATION, Journal of banking & finance, 21(2), 1997, pp. 127-141

Authors: CHUNHACHINDA P DANDAPANI K HAMID S PRAKASH AJ
Citation: P. Chunhachinda et al., PORTFOLIO SELECTION AND SKEWNESS - EVIDENCE FROM INTERNATIONAL STOCK MARKETS, Journal of banking & finance, 21(2), 1997, pp. 143-167

Authors: VETZAL KR
Citation: Kr. Vetzal, STOCHASTIC VOLATILITY, MOVEMENTS IN SHORT-TERM INTEREST-RATES, AND BOND OPTION VALUES, Journal of banking & finance, 21(2), 1997, pp. 169-196

Authors: BROOKS RD FAFF RW HO YK
Citation: Rd. Brooks et al., A NEW TEST OF THE RELATIONSHIP BETWEEN REGULATORY CHANGE IN FINANCIAL-MARKETS AND THE STABILITY OF BETA-RISK OF DEPOSITORY INSTITUTIONS, Journal of banking & finance, 21(2), 1997, pp. 197-219

Authors: RESTI A
Citation: A. Resti, EVALUATING THE COST-EFFICIENCY OF THE ITALIAN BANKING SYSTEM - WHAT CAN BE LEARNED FROM THE JOINT APPLICATION OF PARAMETRIC AND NONPARAMETRIC TECHNIQUES, Journal of banking & finance, 21(2), 1997, pp. 221-250

Authors: WONG KP
Citation: Kp. Wong, ON THE DETERMINANTS OF BANK INTEREST MARGINS UNDER CREDIT AND INTEREST-RATE RISKS, Journal of banking & finance, 21(2), 1997, pp. 251-271

Authors: LORD RA
Citation: Ra. Lord, THE CHICAGO PLAN AND NEW-DEAL BANKING REFORM - PHILLIPS,RJ, Journal of banking & finance, 21(2), 1997, pp. 273-279

Authors: SCHOLTENS LJR
Citation: Ljr. Scholtens, FINANCIAL REFORM - THEORY AND EXPERIENCE - CAPRIO,G, ATIYAS,I, HANSON,JA, Journal of banking & finance, 21(2), 1997, pp. 279-284

Authors: VOEKS R
Citation: R. Voeks, REAL OPTIONS - MANAGERIAL FLEXIBILITY AND STRATEGY IN RESOURCE-ALLOCATION - TRIGEORGIS,L, Journal of banking & finance, 21(2), 1997, pp. 285-288

Authors: SARNAT M
Citation: M. Sarnat, UNTITLED, Journal of banking & finance, 21(11-12), 1997, pp. 1-3

Authors: ALLEN F SANTOMERO AM
Citation: F. Allen et Am. Santomero, THE THEORY OF FINANCIAL INTERMEDIATION, Journal of banking & finance, 21(11-12), 1997, pp. 1461-1485

Authors: HO TS STAPLETON RC SUBRAHMANYAM MG
Citation: Ts. Ho et al., THE VALUATION OF AMERICAN OPTIONS ON BONDS, Journal of banking & finance, 21(11-12), 1997, pp. 1487-1513

Authors: DIMSON E MARSH P
Citation: E. Dimson et P. Marsh, STRESS TESTS OF CAPITAL REQUIREMENTS, Journal of banking & finance, 21(11-12), 1997, pp. 1515-1546

Authors: FRANKS JR SCHAEFER SM STAUNTON MD
Citation: Jr. Franks et al., THE DIRECT AND COMPLIANCE COSTS OF FINANCIAL REGULATION, Journal of banking & finance, 21(11-12), 1997, pp. 1547-1572

Authors: HANCOCK D HUMPHREY DB
Citation: D. Hancock et Db. Humphrey, PAYMENT TRANSACTIONS, INSTRUMENTS, AND SYSTEMS - A SURVEY, Journal of banking & finance, 21(11-12), 1997, pp. 1573-1624

Authors: FERSON WE HARVEY CR
Citation: We. Ferson et Cr. Harvey, FUNDAMENTAL DETERMINANTS OF NATIONAL EQUITY MARKET RETURNS - A PERSPECTIVE ON CONDITIONAL ASSET PRICING, Journal of banking & finance, 21(11-12), 1997, pp. 1625-1665

Authors: SWEENEY RJ
Citation: Rj. Sweeney, DO CENTRAL BANKS LOSE ON FOREIGN-EXCHANGE INTERVENTION - A REVIEW ARTICLE, Journal of banking & finance, 21(11-12), 1997, pp. 1667-1684

Authors: STEIN JL PALADINO G
Citation: Jl. Stein et G. Paladino, RECENT DEVELOPMENTS IN INTERNATIONAL FINANCE - A GUIDE TO RESEARCH, Journal of banking & finance, 21(11-12), 1997, pp. 1685-1720

Authors: ALTMAN EI SAUNDERS A
Citation: Ei. Altman et A. Saunders, CREDIT RISK MEASUREMENT - DEVELOPMENTS OVER THE LAST 20 YEARS, Journal of banking & finance, 21(11-12), 1997, pp. 1721-1742

Authors: ELTON EJ GRUBER MJ
Citation: Ej. Elton et Mj. Gruber, MODERN PORTFOLIO THEORY, 1950 TO DATE, Journal of banking & finance, 21(11-12), 1997, pp. 1743-1759

Authors: DEYOUNG R
Citation: R. Deyoung, OPERATIONAL EFFICIENCY IN BANKING - AN INTERNATIONAL PERSPECTIVE - COMMENT, Journal of banking & finance, 21(10), 1997, pp. 1325-1329
Risultati: << | 101-125 | 126-150 | 151-175 | 176-200 | >>