The Ambivalent Role of High-Frequency Trading in Turbulent Market Periods Von Anna Polanska|2022-05-15T17:27:15+02:00Mai 15, 2022|Corporate Finance & Financial Markets, Working Papers|0 Kommentare Weiterlesen
Counterparty Credit Limits: An Effective Tool for Mitigating Counterparty Risk? Von Anna Polanska|2022-05-15T17:25:22+02:00Mai 15, 2022|Corporate Finance & Financial Markets, Working Papers|0 Kommentare Weiterlesen
Large-Scale Portfolio Allocation Under Transaction Costs and Model Uncertainty Von Anna Polanska|2022-05-15T17:24:29+02:00Mai 15, 2022|Corporate Finance & Financial Markets, Working Papers|0 Kommentare Weiterlesen
CEO-speeches and stock returns Von Anna Polanska|2022-05-15T17:23:43+02:00Mai 15, 2022|Working Papers|0 Kommentare Weiterlesen
Finanzwissen und Vorsorgesparverhalten Von Anna Polanska|2022-05-15T17:22:23+02:00Mai 15, 2022|Monetary Policy & Financial Stability, Working Papers|0 Kommentare Weiterlesen
Gender- and Education-Related Effects of Financial Sophistication on Wealth Accumulation: Evidence from Heteroscedasticity-Based Instruments Von Anna Polanska|2022-05-15T17:21:41+02:00Mai 15, 2022|Corporate Finance & Financial Markets, Working Papers|0 Kommentare Weiterlesen
The Agency of CoCo: Why Do Banks Issue Contingent Convertible Bonds? Von Anna Polanska|2022-05-15T17:20:51+02:00Mai 15, 2022|Corporate Finance & Financial Markets, Working Papers|0 Kommentare Weiterlesen
Loanable Funds vs Money Creation in Banking: A Benchmark Result Von Anna Polanska|2022-05-15T17:20:02+02:00Mai 15, 2022|Monetary Policy & Financial Stability, Working Papers|0 Kommentare Weiterlesen
Clearing of euro OTC derivatives post Brexit – an analysis of the present cost estimates Von Anna Polanska|2022-05-15T17:06:26+02:00Mai 15, 2022|Corporate Finance & Financial Markets, Working Papers|0 Kommentare Weiterlesen
Market Fragility and the Paradox of the Recent Stock-Bond Dissonance Von Anna Polanska|2022-05-15T16:58:28+02:00Mai 15, 2022|Corporate Finance & Financial Markets, Working Papers|0 Kommentare Weiterlesen