Bank Exposures and Sovereign Stress Transmission Von Anna Polanska|2022-05-15T18:18:48+02:00Mai 15, 2022|Monetary Policy & Financial Stability, Working Papers|0 Kommentare Weiterlesen
Why Do Investors Buy Sovereign Default Insurance? Von Anna Polanska|2022-05-15T18:17:44+02:00Mai 15, 2022|Corporate Finance & Financial Markets, Working Papers|0 Kommentare Weiterlesen
How do Insiders Trade? Von Anna Polanska|2022-05-15T18:17:00+02:00Mai 15, 2022|Working Papers|0 Kommentare Weiterlesen
Sovereign Risk, Bank Funding and Investors’ Pessimism Von Anna Polanska|2022-05-15T18:16:12+02:00Mai 15, 2022|Working Papers|0 Kommentare Weiterlesen
Asymmetric Information in Automobile Insurance: Evidence from Driving Behavior Von Anna Polanska|2022-05-15T18:15:27+02:00Mai 15, 2022|Corporate Finance & Financial Markets, Working Papers|0 Kommentare Weiterlesen
Prestige and Loan Pricing Von Anna Polanska|2022-05-15T18:14:42+02:00Mai 15, 2022|Corporate Finance & Financial Markets, Working Papers|0 Kommentare Weiterlesen
Sovereign Reputation and Yield Spreads: A Case Study on Retroactive Legislation Von Anna Polanska|2022-05-15T18:13:54+02:00Mai 15, 2022|Monetary Policy & Financial Stability, Working Papers|0 Kommentare Weiterlesen
Risk Control in Asset Management: Motives and Concepts Von Anna Polanska|2022-05-15T18:12:49+02:00Mai 15, 2022|Corporate Finance & Financial Markets, Working Papers|0 Kommentare Weiterlesen
Debt Maturity and the Dynamics of Leverage Von Anna Polanska|2022-05-15T18:12:00+02:00Mai 15, 2022|Corporate Finance & Financial Markets, Working Papers|0 Kommentare Weiterlesen
Managerial Rents vs. Shareholder Value in Delegated Portfolio Management: The Case of Closed-End Funds Von Anna Polanska|2022-05-15T18:10:52+02:00Mai 15, 2022|Corporate Finance & Financial Markets, Working Papers|0 Kommentare Weiterlesen