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Investor information and bank instability during the European debt crisis
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Is a friend in need a friend indeed?
how relationship borrowers fare during the COVID-19 crisis -
Endogenous uncertainty and credit crunches
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Optimism gone bad?
the persistent effects of traumatic experiences on investment decisions -
Economic crises and U.S. agricultural exports
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Essays in macro-finance
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The joint dynamics of money and credit multipliers since the gold standard era
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Essays on financial intermediation and financial stability
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Credit growth, the yield curve and financial crisis prediction
evidence from a machine learning approach -
Optimism gone bad?
the persistent effects of traumatic experiences on investment decisions -
Essays on inflation expectations, leaning against the wind policy, and consumer bankruptcy
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Investing in crises
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Income inequality and the depth of economic downturns
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Financial policymaking after crises
public vs. private interests -
Shareholder liability and bank failure
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Shareholder liability and bank failure
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(Non-)Keynesian effects of fiscal austerity
new evidence from a large sample -
How to restructure sovereign debt
lessons from four decades -
Industrial firms and systemic risk
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Financial stability considerations for monetary policy
empirical evidence and challenges -
Who can tell which banks will fail?
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Heterogeneous firms, wages, and the effects of financial crises
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Loose financial conditions, rising leverage, and risks to macro-financial stability
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Collateral in bank lending during financial crises
a borrower and a lender story -
The multiple dimensions of liquidity