Published Articles in Journals

241-255 from 610 results
  • Social networks and research output
    Lorenzo Ductor, Marcel Fafchamps, Sanjeev Goyal and Marco van der Leij
    Review of Economics and Statistics, 2014, 96(5), 936-948
  • Geographic diversification in banking
    Yiwei Fang and Iman van Lelyveld
    Journal of Financial Stability, 2014, 15, 172-181
  • Finding the core: Network structure in interbank markets
    Daan in ‘t Veld and Iman van Lelyveld
    Journal of Banking and Finance, 2014, 49, 27-40
  • A state space approach to measuring the impact of sovereign and credit risk on interest rate convergence in the euro area
    Ivo Arnold and Saskia van Ewijk
    Journal of International Money and Finance, 2014, 49, 340–357
  • Bank risk within and across equilibria
    Itai Agur
    Journal of Banking and Finance, 2014, 48, 322–333
  • Adaptive learning and survey data
    Agnieszka Markiewicza and Andreas Pick
    Journal of Economic Behavior & Organization, 2014, 107-B, 685–707
  • A long-term perspective on the determinants of treasury bond stripping levels
    Marck Bulter, Miles Livingston and Lei Zhou
    Financial Markets, Institutions & Instruments, 2014, 23(4), 179–210
  • Bank regulation, the quality of institutions and banking risk in emerging and developing countries: An empirical analysis
    Jeroen Klomp and Jakob de Haan
    Emerging Markets Finance and Trade, 2014, 50(6), 19-40
  • Dating banking crises using incidence and size of bank failures: Four crises reconsidered
    Raymond Chaudron and Jakob de Haan
    Journal of Financial Stability, 2014, 15, 63-75
  • Home bias and Dutch pension funds’ behaviour
    Ghulame Rubbaniy, Iman van Lelyveld and Willem Verschoor
    European Journal of Finance, 2014, 20(11), 978-993
  • Leading indicators of currency crises: Are they the same in different exchange rate regimes?
    Yanping Zhao, Jakob de Haan, Bert Scholtens and Haizhen Yang
    Open Economies Review, 2014, 25(5), 937-957
  • Migrants' choice of remittance channel: Do General payment habits play a role?
    Anneke Kosse and Robert Vermeulen
    World Development, 2014, 62, 213-227
  • Testing uncovered interest rate parity using LIBOR
    Muhammad Omer, Jakob de Haan and Bert Scholtens
    Applied Economics, 2014, 46(30), 3708-3723
  • Are European sovereign bonds fairly priced? The role of modelling uncertainty
    Leo de Haan, Jeroen Hessel and Jan Willem van den End
    Journal of International Money and Finance, 2014, 47, 239-267
  • Early warning for currency crises: what is the role of financial openness?
    Jon Frost and Ayako Saiki
    Review of International Economics, 2014, 22(4), 722–743
241-255 from 610 results