Multiple-bank lending: diversification and free-riding in monitoring Von Anna Polanska|2022-05-24T18:14:58+00:00Mai 24, 2022|Working Papers|0 Kommentare Weiterlesen
Real-Time Price Discovery in Stock, Bond and Foreign Exchange Markets Von Anna Polanska|2022-05-24T18:14:07+00:00Mai 24, 2022|Working Papers|0 Kommentare Weiterlesen
The comovement of credit default swap, bond and stock markets: an empirical analysis Von Anna Polanska|2022-05-24T18:13:17+00:00Mai 24, 2022|Working Papers|0 Kommentare Weiterlesen
The Basle Securitisation Framework Explained: The Regulatory Treatment of Asset Securitisation Von Anna Polanska|2022-05-24T18:12:29+00:00Mai 24, 2022|Working Papers|0 Kommentare Weiterlesen
Monetary Discretion, Pricing Complementarity and Dynamic Multiple Equilibria Von Anna Polanska|2022-05-24T18:12:05+00:00Mai 24, 2022|Working Papers|0 Kommentare Weiterlesen
Understanding the Effects of Government Spending on Consumption Von Anna Polanska|2022-05-24T18:11:24+00:00Mai 24, 2022|Working Papers|0 Kommentare Weiterlesen
The Decline of Activist Stabilization Policy: Natural Rate Misperceptions, Learning, and Expectations Von Anna Polanska|2022-05-24T18:10:59+00:00Mai 24, 2022|Working Papers|0 Kommentare Weiterlesen
The Basel II Accord: Internal Ratings and Bank Differentiation Von Anna Polanska|2022-05-24T18:10:20+00:00Mai 24, 2022|Working Papers|0 Kommentare Weiterlesen
The Reform of October 1979: How It Happened and Why Von Anna Polanska|2022-05-24T18:09:40+00:00Mai 24, 2022|Working Papers|0 Kommentare Weiterlesen
Practical Volatility and Correlation Modeling for Financial Market Risk Management Von Anna Polanska|2022-05-24T18:08:55+00:00Mai 24, 2022|Working Papers|0 Kommentare Weiterlesen