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1
Risk
premia and the pricing of primary issue bonds
Lamy, Robert
- In:
Journal of banking & finance
12
(
1988
)
4
,
pp. 585-601
Persistent link: https://www.econbiz.de/10001061944
Saved in:
2
The stock market perception of industry
risk
and the separation of banking and commerce
Isimbabi, Michael J.
- In:
Journal of banking & finance
18
(
1994
)
2
,
pp. 325-349
Persistent link: https://www.econbiz.de/10001164275
Saved in:
3
Term structure effects on default
risk
premia and the relationship of default-risky tax-exempt yields to
risk
-free taxable yields : a note
Stock, Duane R.
- In:
Journal of banking & finance
18
(
1994
)
6
,
pp. 1185-1203
Persistent link: https://www.econbiz.de/10001173213
Saved in:
4
Margins and the safety of clearing houses
Gemmill, Gordon
- In:
Journal of banking & finance
18
(
1994
)
5
,
pp. 979-996
Persistent link: https://www.econbiz.de/10001174018
Saved in:
5
The theory of financial intermediation
Allen, Franklin
- In:
Journal of banking & finance
21
(
1997
)
11
,
pp. 1461-1485
Persistent link: https://www.econbiz.de/10001236738
Saved in:
6
Bank spread with uncertain deposit level and
risk
aversion
Zarruk, Emilio R.
- In:
Journal of banking & finance
13
(
1989
)
6
,
pp. 797-810
Persistent link: https://www.econbiz.de/10001080609
Saved in:
7
The timing of mergers along the production chain, capital structure, and
risk
dynamics
Tarsalewska, Monika
- In:
Journal of banking & finance
57
(
2015
),
pp. 51-64
Persistent link: https://www.econbiz.de/10011543766
Saved in:
8
A new approach to measuring riskiness in the equity market : implications for the
risk
premium
Bali, Turan G.
;
Cakici, Nusret
;
Chabi-Yo, Fousseni
- In:
Journal of banking & finance
57
(
2015
),
pp. 101-117
Persistent link: https://www.econbiz.de/10011543805
Saved in:
9
Decision making with Expected Shortfall and spectral
risk
measures : the problem of comparative
risk
aversion
Brandtner, Mario
;
Kürsten, Wolfgang
- In:
Journal of banking & finance
58
(
2015
),
pp. 268-280
Persistent link: https://www.econbiz.de/10011544006
Saved in:
10
Why does higher variability of trading activity predict lower expected returns?
Barinov, Alexander
- In:
Journal of banking & finance
58
(
2015
),
pp. 457-470
Persistent link: https://www.econbiz.de/10011544044
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