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Barunik, Jozef
6
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3
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41
Optimal Investment and Risk Control Problem for an Insurer: Expected Utility Maximization
Zou, Bin
;
Cadenillas, Abel
-
arXiv.org
-
2014
Motivated by the AIG bailout case in the
financial
crisis
of 2007-2008, we consider an insurer who wants to maximize …
Persistent link: https://www.econbiz.de/10010750248
Saved in:
42
A GDP-driven model for the binary and weighted structure of the International Trade Network
Almog, Assaf
;
Squartini, Tiziano
;
Garlaschelli, Diego
-
arXiv.org
-
2014
Recent events such as the global
financial
crisis
have renewed the interest in the topic of economic networks. One of …
Persistent link: https://www.econbiz.de/10011120467
Saved in:
43
Assessing the Basel II Internal Ratings-Based Approach: Empirical Evidence from Australia
Rutkowski, Marek
;
Tarca, Silvio
-
arXiv.org
-
2014
the
financial
crisis
of 2007-09 was most acutely felt, our empirical findings offer a fundamental assessment of the impact …
Persistent link: https://www.econbiz.de/10011086437
Saved in:
44
Empirical symptoms of catastrophic bifurcation transitions on financial markets: A phenomenological approach
M. Koz{\l}owska
;
Gubiec, T.
;
Werner, T. R.
;
Denys, M.
; …
-
arXiv.org
-
2014
bubble; this bubble was induced by the recent worldwide
financial
crisis
on typical financial markets of small and middle to …
Persistent link: https://www.econbiz.de/10011141312
Saved in:
45
Income Distribution in the European Union Versus in the United States
Jagielski, Maciej
;
Rafa{\l} Duczmal
;
Kutner, Ryszard
-
arXiv.org
-
2014
classes of any income. This formalism allowed the study of the impact of the recent world-wide
financial
crisis
on the annual …
Persistent link: https://www.econbiz.de/10011141315
Saved in:
46
qGaussian model of default
Katz, Yuri A.
-
arXiv.org
-
2014
the study of 645 North American industrial firms during the
financial
crisis
, 2006 - 2012. All defaulters in the sample …
Persistent link: https://www.econbiz.de/10010941082
Saved in:
47
Granger Causality Stock Market Networks: Temporal Proximity and Preferential Attachment
Tom\'a\v{s} V\'yrost
;
\v{S}tefan Ly\'ocsa
;
Eduard Baum\"ohl
-
arXiv.org
-
2014
the recent
financial
crisis
the impact of the US stock market has declined. Second, spatial probit models confirmed the …
Persistent link: https://www.econbiz.de/10010886749
Saved in:
48
A general HJM framework for multiple yield curve modeling
Cuchiero, Christa
;
Fontana, Claudio
;
Gnoatto, Alessandro
-
arXiv.org
-
2014
We propose a general framework for modeling multiple yield curves which have emerged after the last
financial
crisis
…
Persistent link: https://www.econbiz.de/10011274843
Saved in:
49
Modelling Returns and Volatilities During Financial Crises: a Time Varying Coefficient Approach
Karanasos, Menelaos
;
Paraskevopoulos, Alexandros
;
Ali, …
-
arXiv.org
-
2014
DAX, and those of NIKKEI and Hang Seng, which became more prominent during the recent
financial
crisis
. Our theoretical …
Persistent link: https://www.econbiz.de/10010754252
Saved in:
50
Anatomy of a Bail-In
Conlon, Thomas
;
Cotter, John
-
arXiv.org
-
2014
retrospectively in the context of failed European banks during the global
financial
crisis
. Empirical findings suggest that equity and …
Persistent link: https://www.econbiz.de/10010755244
Saved in:
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