Bailouts, the incentive to manage risk, and financial crises
Year of publication: |
2010
|
---|---|
Authors: | Panageas, Stauros |
Published in: |
Journal of financial economics. - Amsterdam [u.a.] : Elsevier, ISSN 0304-405X, ZDB-ID 187118-3. - Vol. 95.2010, 3, p. 296-311
|
Subject: | Finanzkrise | Financial crisis | Unternehmenserfolg | Firm performance | Insolvenz | Insolvency | Börsenkurs | Share price | Volatilität | Volatility | Aktionäre | Shareholders | Risikomanagement | Risk management | Theorie | Theory |
-
Bailouts, the incentive to manage risk, and financial crises
Panageas, Stauros, (2009)
-
Bailouts, the Incentive to Manage Risk, and Financial Crises
Panageas, Stavros, (2009)
-
Bailouts, the Incentive to Manage Risk, and Financial Crises
Panageas, Stavros, (2010)
- More ...
-
Garleanu, Nicolae, (2015)
-
Heterogeneity and asset prices : a different approach
Garleanu, Nicolae, (2020)
-
Precautionary saving in a financially-constrained firm
Abel, Andrew B., (2020)
- More ...