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CNKI学位论文(2)
在“
Elsevier电子期刊
”中,
命中:
250
条,耗时:0.0109937 秒
在所有数据库中总计命中:
2
条
1.
The impact of the European sovereign debt crisis on
banks
stocks. Some evidence of shift contagion in Europe
作者:
Jean-Pierre Allegret
;
jallegret@u-paris10.fr
;
Hé
;
lè
;
ne Raymond
helene.raymond-feingold@u-paris10.fr
;
Houda Rharrabti
houdajad@hotmail.com
关键词:
Smooth transition regression model
;
European sovereign debt crisis
;
Banks
&
rsquo
;
equity returns
;
Contagion
;
Interdependence
刊名:Journal of Banking & Finance
出版年:2017
2.
How does issuing contingent convertible bonds improve bank's solvency? A Value-at-Risk and Expected Shortfall approach
作者:
Piotr Jaworski
a
;
P.Jaworski@mimuw.edu.pl
;
Kamil Liberadzki
b
;
kliber@sgh.waw.pl
;
Marcin Liberadzki
b
;
mliber@sgh.waw.pl
关键词:
G010
;
G210
;
G280
刊名:Economic Modelling
出版年:2017
3.
The procyclicality of loan loss provisions in Islamic
banks
作者:
Wahyoe Soedarmono
a
;
wahyoe.soedarmono@sampoernauniversity.ac.id
;
Sigid Eko Pramono
b
;
sigidpram@bi.go.id
;
Amine Tarazi
c
;
amine.tarazi@unilim.fr
关键词:
G21
;
G28
;
M41
刊名:Research in International Business and Finance
出版年:2017
4.
Risk and profitability of Islamic
banks
: A religious deception or an alternative solution?
作者:
Naama Trad
a
;
Mohamed Ali Trabelsi
b
;
daly1704@yahoo.fr
;
Jean Franç
;
ois Goux
c
关键词:
G01
;
G21
;
G24
;
G31
刊名:European Research on Management and Business Economics
出版年:2017
5.
Strong boards, ownership concentration and EU
banks
’ systemic risk-taking: Evidence from the financial crisis
作者:
Francesca Battaglia
a
;
francesca.battaglia@uniparthenope.it
;
Angela Gallo
b
;
angallo@unisa.it
关键词:
G01
;
G21
;
G32
刊名:Journal of International Financial Markets, Institutions and Money
出版年:2017
6.
Accounting for
banks
, capital regulation and risk-taking
作者:
Jing Li
acjli@hku.hk
关键词:
Fair value accounting
;
Lower-of-cost-or-market accounting
;
Bank risk-taking
;
Capital regulation
刊名:Journal of Banking & Finance
出版年:2017
7.
Board diversity and financial fragility: Evidence from European
banks
作者:
Hisham Farag
a
;
h.farag@bham.ac.uk
;
Chris Mallin
b
关键词:
G30
刊名:International Review of Financial Analysis
出版年:2017
8.
How do
banks
determine their spreads under credit and liquidity risks during business cycles?
作者:
Resul Aydemir
;
resulaydemir@itu.edu.tr
Author Vitae
;
Bulent Guloglu
guloglub@itu.edu.tr
Author Vitae
关键词:
G21
;
L13
;
L22
刊名:Journal of International Financial Markets, Institutions and Money
出版年:2017
9.
Transaction services and SME internationalization: The effect of home and host country bank relationships on international investment and growth
作者:
Kent Eriksson
a
;
kent.eriksson@abe.kth.se
;
Ø
;
ystein Fjeldstad
b
;
oystein.fjeldstad@bi.no
;
Sara Jonsson
a
;
1
;
sara.jonsson@abe.kth.se
关键词:
Banks
;
Business relationship
;
Internationalization
;
SMEs
;
Transaction organizations
;
Transaction services
刊名:International Business Review
出版年:2017
10.
Central bank collateral frameworks
作者:
Kjell G. Nyborg
kjell.nyborg@bf.uzh.ch
关键词:
Central bank
;
Banks
;
Collateral
;
Money
;
Liquidity
;
Monetary system
;
Financial system
;
Monetary policy
;
Ratings
;
Guarantees
;
Haircuts
;
Eurosystem
;
ECB
刊名:Journal of Banking & Finance
出版年:2017
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