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Year of publication
Subject
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Rentenmarkt 5,164 Bond market 5,129 Public bond 1,636 Öffentliche Anleihe 1,636 Anleihe 1,437 Bond 1,424 Corporate bond 1,005 Unternehmensanleihe 1,005 Zinsstruktur 801 Theorie 796 Theory 794 Yield curve 793 Capital income 690 Kapitaleinkommen 690 Aktienmarkt 643 Stock market 639 USA 604 United States 602 Finanzmarkt 583 Financial market 582 Welt 552 World 552 EU-Staaten 524 EU countries 523 Risk premium 485 Risikoprämie 475 Portfolio selection 474 Portfolio-Management 474 Estimation 434 Schätzung 434 Monetary policy 428 Börsenkurs 422 Geldpolitik 420 Share price 419 bond market 418 Eurozone 404 Euro area 403 Internationaler Finanzmarkt 383 International financial market 382 Liquidity 367
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Online availability
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Free 2,756 Undetermined 1,166 CC license 78 Digitizable 1
Type of publication
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Book / Working Paper 3,313 Article 2,301 Journal 12 Other 1
Type of publication (narrower categories)
All
Article in journal 1,922 Aufsatz in Zeitschrift 1,922 Graue Literatur 1,181 Non-commercial literature 1,181 Working Paper 1,076 Arbeitspapier 1,064 Aufsatz im Buch 246 Book section 246 Hochschulschrift 113 Thesis 85 Collection of articles of several authors 51 Sammelwerk 51 Collection of articles written by one author 27 Sammlung 27 Konferenzschrift 26 Conference paper 24 Konferenzbeitrag 24 Dissertation u.a. Prüfungsschriften 21 Lehrbuch 21 Textbook 21 Aufsatzsammlung 20 Conference proceedings 16 Amtsdruckschrift 12 Government document 12 Handbook 10 Handbuch 10 Market information 9 Marktinformation 9 Bibliografie enthalten 8 Bibliography included 8 Glossar enthalten 7 Glossary included 7 Statistik 6 Article 5 Bibliografie 5 Statistics 4 Systematic review 4 Übersichtsarbeit 4 Mikroform 3 Ratgeber 3
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Language
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English 5,118 Undetermined 281 German 161 Russian 18 French 13 Polish 13 Spanish 11 Italian 5 Swedish 3 Croatian 2 Czech 1 Danish 1 Korean 1 Norwegian 1 Portuguese 1 Slovak 1
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Author
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Christiansen, Charlotte 33 Park, Donghyun 33 Warnock, Francis E. 33 Adrian, Tobias 26 Burger, John D. 26 Schmukler, Sergio L. 26 Fabozzi, Frank J. 25 Campbell, John Y. 23 Bekaert, Geert 22 Boyarchenko, Nina 22 Fleming, Michael J. 22 Tian, Shu 21 Batten, Jonathan A. 19 Chernov, Mikhail 19 Shachar, Or 19 Baele, Lieven 18 Choudhry, Moorad 18 De Santis, Roberto A. 18 Didier, Tatiana 18 McCauley, Robert N. 18 Diebold, Francis X. 17 Eichengreen, Barry 17 Gürkaynak, Refet S. 17 Hagen, Jürgen von 17 Schuknecht, Ludger 17 Subrahmanyam, Marti G. 17 Gyntelberg, Jacob 16 Vega, Clara 16 Dewachter, Hans 15 Inghelbrecht, Koen 15 Massa, Massimo 15 Remolona, Eli M. 15 Tsoukas, Serafeim 15 Dunne, Peter G. 14 Gómez Puig, Marta 14 Haiss, Peter R. 14 Lyrio, Marco 14 Mizen, Paul 14 Swinkels, Laurens 14 Acharya, Viral V. 13
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Institution
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International Monetary Fund (IMF) 285 International Monetary Fund 118 National Bureau of Economic Research 97 Asian Development Bank 31 Federal Reserve Board (Board of Governors of the Federal Reserve System) 13 OECD 12 Federal Reserve Bank of St. Louis 11 Federal Reserve Bank of San Francisco 10 Reserve Bank of Australia 9 European Commission / Directorate-General for Economic and Financial Affairs 8 World Bank 7 Asian Development Bank (ADB) 6 Bank für Internationalen Zahlungsausgleich / Währungs- und Wirtschaftsabteilung 6 European Central Bank 6 European Parliament / Directorate-General for Internal Policies of the Union 5 Centre for Analytical Finance <Århus> 4 Deutsche Bundesbank 4 Federal Reserve Bank of New York 4 Philippine Institute for Development Studies (PIDS), Government of the Philippines 4 Renessans Kapital <Moskau> 4 Suomen Pankki 4 Trojka Dialog <Moskau> 4 Volkswirtschaftliche Fakultät, Ludwig-Maximilians-Universität München 4 EconomiX, Université Paris Ouest-Nanterre la Défense (Paris X) 3 Europäische Zentralbank 3 The Wharton Financial Institutions Center 3 Université Paris-Dauphine (Paris IX) 3 Banca d'Italia 2 Banco de España 2 Bank for International Settlements (BIS) 2 Bank of Canada 2 Creditanstalt-Bankverein 2 Department of Economics, University of Pennsylvania 2 Edward Elgar Publishing 2 Ekonomiska forskningsinstitutet <Stockholm> 2 European Commission / Joint Research Centre 2 Federal Reserve Bank of Chicago 2 Gaidar Institute for Economic Policy 2 Institute of Finance and Accounting <London> 2 International Finance Corporation 2
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Published in...
All
IMF Working Papers 185 NBER working paper series 97 IMF Staff Country Reports 94 Working paper / National Bureau of Economic Research, Inc. 81 NBER Working Paper 75 Finance research letters 73 Journal of banking & finance 59 International review of financial analysis 50 IMF working papers 46 Journal of international money and finance 45 International review of economics & finance : IREF 43 Working paper series / European Central Bank 42 Discussion paper / Centre for Economic Policy Research 39 Journal of financial economics 37 The journal of fixed income 36 Journal of international financial markets, institutions & money 28 Applied economics 26 Discussion papers / CEPR 24 The North American journal of economics and finance : a journal of financial economics studies 24 The review of financial studies 24 Research in international business and finance 23 Staff reports / Federal Reserve Bank of New York 23 Working paper 23 Applied economics letters 21 Pacific-Basin finance journal 20 Discussion paper series / Centre for Economic Policy Research / Financial economics 19 Emerging markets review 19 IMF Working Paper 19 Journal of empirical finance 19 Journal of monetary economics 19 ECB Working Paper 18 IMF working paper 18 Developing corporate bond markets in Asia : proceedings of a BIS/PBC seminar held in Kunming, China on 17 - 18 November 2005 17 Economics letters 17 Working papers / Bank for International Settlements 17 Management science : journal of the Institute for Operations Research and the Management Sciences 16 Policy research working paper : WPS 16 The European journal of finance 16 Applied financial economics 15 BIS Working Paper 15
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Source
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ECONIS (ZBW) 5,109 RePEc 428 USB Cologne (EcoSocSci) 59 EconStor 18 USB Cologne (business full texts) 4 BASE 3 ArchiDok 3 Other ZBW resources 3
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Showing 1 - 50 of 5,627
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Voluntary disclosures and monetary policy : evidence from quantitative easing
Vincenzi, Roberto - In: Review of accounting studies 30 (2025) 1, pp. 650-701
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10015533154
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Modelling the relationship between bond issuance and firm performance in the dynamic Indian scenario
Singh, Gaurav - In: International journal of economics and business … 29 (2025) 19, pp. 1-19
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Post-COVID central bank balance sheet normalization and its implications : the case of ASEAN-4 economies
Khor, Hoe Ee; Runchana Pongsaparn; Pim-orn Wacharaprapapong - 2024
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How does delegated main bank monitoring substitute for accounting information in the bond market?
Ito, Kodai; Shuto, Akinobu - 2024 - This version: July 2024
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10015164459
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The Global South's sustainable finance gap : the role of financial development
Yilmaz, Fatih - 2026
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Demand disagreement
Heyerdahl-Larsen, Christian; Illeditsch, Philipp - In: Journal of financial economics 175 (2026), pp. 1-16
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Green bond market performance : does investor sentiment contagion matter?
Le Thuy Duong Ha; Hoque, Ariful; Le, Thi - In: Green finance : GF 8 (2026) 1, pp. 142-185
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A market-based assessment of the outlook for inflation
Christensen, Jens H. E.; Steenkamp, Daan - 2026
Using a novel arbitrage-free dynamic term structure model of nominal and real bond prices that accounts for bond-specific liquidity risk premia, this paper provides estimates of bond investors' inflation expectations and associated inflation risk premia in South African sovereign bonds. The...
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10015612457
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Greener but thinner? : assessing green bond market liquidity
Dulak, Thomas; Wolff, Guntram B. - 2026
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Safe-haven flows into the German bond market and the role of policy disagreement
Röder, Jana; Tillmann, Peter; Winker, Peter; Yun, Jinyeong - 2026
German government debt is considered a safe asset in times of turbulence. We estimate the impact of changes in the risk appetite of global investors on weekly investment fund flows into the German sovereign bond market. Our key contribution is to allow the impact of such shocks to depend on the...
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Safety switches : the macroeconomic consequences of time-varying asset safety
Foschi, Andrea - 2026
I develop a model-based definition of time-varying sovereign bond safety, and apply it empirically by constructing a news-based index, the FLY, that measures global safe-assets demand. The FLY captures flight-to-safety episodes, the savings glut, and natural interest rate declines. Estimated FLY...
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10015626787
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Collateral policy surprises
Hüttl, Pia; Ider, Gökhan; Kaldorf, Matthias - 2026
Central bank collateral policy specifies which assets banks can pledge as collateral to obtain central bank funding and is an important determinant of liquidity in the banking system. We propose a high-frequency identification approach to study the systematic effects of central bank collateral...
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10015633026
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Inflation targeting and the dynamics of inflation risk premia in South Africa's bond market
Allison, Chloë; Wet, Theuns de - 2026
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A market-based assessment of the outlook for inflation expectations and monetary policy in South Africa
Christensen, Jens H. E.; Steenkamp, Daan - 2026
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10015636702
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Determinants of liquidity in the japanese government bond market : an interpretable machine learning approach
Kojima, Satoko; Sakiyama, Toshiyuki - 2026
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Sovereign risk mispricing and investor herding : MENA debt markets
Moustafa, Eman; El-Shal, Amira - In: Borsa Istanbul Review 25 (2025) 3, pp. 587-596
In response to the scarce evidence regarding herd behaviour in emerging and frontier debt markets, this paper investigates the potential mispricing of MENA sovereign risk. We explore whether this mispricing results from international investor herding, where MENA debt assets are collectively...
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Time-varying performance of betting against beta (BAB) and other risk-based anomalies : evidence from Asia
Rakhyani, Sarika; Sehgal, Sanjay; Deisting, Florent - In: Borsa Istanbul Review 25 (2025) 5, pp. 908-929
This study examines the performance of trading strategies based on beta, idiosyncratic volatility (IVOL), MAX (lottery behavior), skewness, and tail risk in five major Asian markets, using data from 1999 to 2021. The most important determinant of cross-sectional differences in strategy premiums...
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Asset allocation, diversification, and co-movement effects : a global analysis of bonds and equities issued by the same firm
Liu, Lewis; Clarkson, Peter M. - In: Journal of asset management : a major new, … 26 (2025) 6, pp. 615-641
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Firms' bond market access and impact on bank borrowing costs
Thia, Jang Ping; Kong, Xinyu - In: Journal of financial services research 68 (2025) 1, pp. 51-74
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Betting against (Bad) beta
Herculano, Miguel C. - In: Quantitative finance 25 (2025) 6, pp. 949-958
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Investigating the impact of climate-related risks : a regime-switching analysis of bond market
Sheenan, Lisa; Aminian, Armin; Kothe, Rafael - 2025
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What drives the "synchrony" and "asynchrony" between China's stock and bond markets? : An adaptive Lasso-DCC-MIDAS model
Zhang, Feipeng; Zhang, Yilin; Deng, Yang - In: International review of economics & finance : IREF 101 (2025), pp. 1-19
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Comparison of the asymmetric multifractal behavior of green and U.S. bonds against benchmark financial assets
Kristjanpoller Rodríguez, Werner; Tabak, Benjamin Miranda - In: Financial innovation : FIN 11 (2025), pp. 1-22
Presently, financial portfolio managers lack a solid basis for building a reliable risk management strategy for green debt instrument investments due to the lack of compelling growth and resilience data. Therefore, this study assesses the role of green bonds in financial markets by assessing and...
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Consumption growth persistence and the stock-bond correlation
Jones, Christopher S.; Pyun, Sungjune - In: Journal of financial and quantitative analysis : JFQA 60 (2025) 2, pp. 810-838
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Liquidity in the UK corporate bond market
Laugwitz, Justus; Rahimi, Khashayar; Baker, Robert - 2025
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Political uncertainty and sovereign bond markets
Handler, Lukas; Jankowitsch, Rainer - In: Financial markets and portfolio management 39 (2025) 1, pp. 47-97
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What drives the correlation of stock and bond returns in the US and UK markets?
Kountouris, Spyridon; Alexiou, Constantinos; Vogiazas, … - In: Athens journal of business & economics : AJBE 11 (2025) 2, pp. 211-222
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Tail risk spillovers between Islamic sectoral equities and bond markets : a time-frequency domain approach
Syed Mabruk Billah; Alam, Md Rafayet; Balli, Faruk - In: Applied economics 57 (2025) 32, pp. 4739-4767
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10015443109
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China's debt market : evolution, regulation, and global integration
Cheng, Feiyang; Gao, Haoyu; Pan, Xiaofei; Qian, Meijun; … - In: Pacific-Basin finance journal 91 (2025), pp. 1-19
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10015404955
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Interest rate sensitivity of callable bonds and higher-order approximations
Dow, Scott S.; Orfanos, Stefanos C. - In: Risks : open access journal 13 (2025) 4, pp. 1-24
Certain fixed-income securities, such as callable bonds and mortgage-backed securities subject to prepayment, typically exhibit negative convexity at low yields and cannot be adequately immunized through duration and convexity-matching alone. To address this residual risk, we examine the...
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(In)frequently traded corporate bonds and pricing implications of liquidity dry-ups
Ivashchenko, Alexey - In: Finance research letters 75 (2025), pp. 1-9
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On the relationship between geopolitical risks and euro area sovereign bond yields
Papavassiliou, Vassilios G. - In: Finance research letters 75 (2025), pp. 1-8
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Bond supply, yield drifts, and liquidity provision before macroeconomic announcements
Lou, Dong; Pinter, Gabor; Üslü, Semih; Walker, Danny - 2025
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Investors as a liquidity backstop in corporate bond markets
Comerton-Forde, Carole; Ford, Billy; Foucault, Thierry; … - 2025
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Incertidumbre en el mercado de bonos : una propuesta para identificar sus narrativas con GDELT
Guedes, Jéssica; Torres, Diego; Sánchez-Escribano, Paulino - 2025
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Fund Investor Types and Bond Market Volatility
Mosk, Benjamin - 2025
This note explores the connection between the varied investor profiles of exchange-traded funds (ETFs) and open-ended mutual funds (OEMFs) and the return volatility of the securities they hold. Based on the security-level data of US ETF and OEMF holdings, the analysis suggests that, on...
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Does inflation targeting track record matter for asset prices? : evidence from stock, bond, and foreign exchange markets
Zhang, Zhongxia - In: Journal of international financial markets, … 101 (2025), pp. 1-21
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Sovereign credit rating provision and financial development
Kowalewski, Oskar; Luitel, Prabesh; Vanpée, Rosanne - In: Journal of international financial markets, … 101 (2025), pp. 1-19
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ESG incidents and corporate green bond market reaction
Cotugno, Matteo; Fiorillo, Paolo; Monferrà, Stefano; … - In: Journal of international financial markets, … 102 (2025), pp. 1-25
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Collateral choice
Ballensiefen, Benedikt Fabian - 2025
I provide the first systematic analysis of collateral choices in one of the main short-term funding markets, the repurchase agreement (repo) market. In repos, long-term bonds serve as collateral connecting short-term and long-term funding markets. In general collateral repos, banks can choose...
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The pricing of green bonds and the determinants of the green bond premium in the Asia-Pacific and European markets
Parath Wongaree; Chiyachantana, Chiraphol N.; Ding, David K. - In: Journal of open innovation : technology, market, and … 11 (2025) 2, pp. 1-13
This study examines the sources of capital for sustainable development and investigates the existence of a green bond premium in both primary and secondary bond markets across the Asia-Pacific and European regions. Utilizing the robust Coarsened Exact Matching (CEM) method in conjunction with...
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10015414030
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Essays on banking, credit risk, and debt markets
Gao, Zhuolu - 2025 - First edition
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10015416538
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Optimal consumption and annuity equivalent wealth with mortality model uncertainty
Li, Zhengming; Shen, Yang; Su, Jianxi - In: Insurance : mathematics and economics 120 (2025), pp. 159-188
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10015431894
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ESG performance and bond return volatility
Zhang, Zehua; Zhao, Ran; Zhu, Lu; Chamberlain, Trevor W. - In: Journal of financial stability 79 (2025), pp. 1-18
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Dynamics of green and conventional bonds : hedging effectiveness and sustainability implication
Belguith, Rihab - In: International Journal of Financial Studies : open … 13 (2025) 2, pp. 1-25
This research examines the challenges of issuing green bonds due to a lack of established benchmarks. We compare regional differences between the U.S. and the E.U., hypothesizing that issuers of green bonds stand to benefit from comparing them to conventional (black) bonds. As most investors...
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Re-examining China and the u.s.'s respective green bond markets in extreme conditions : evidence from quantile connectedness
Wang, Mei-Chih; Jiang, Peiyun; Chang, Tsangyao - In: The North American journal of economics and finance : a … 75 (2025) 1, pp. 1-27
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10015359774
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The price of trust: greenium and greenwashing in Asia's green bond markets
Dryden, Alexander; Pulieri, Enrico - 2025
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10015359876
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Decoding the nexus : how fintech and AI stocks drive the future of sustainable finance
Ma, Chao-Qun; Liu, Xukang; Klein, Tony; Ren, Yi-Shuai - In: International review of economics & finance : IREF 98 (2025), pp. 1-18
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Carbon emission disclosure and carbon premium : evidence from the Chinese bond market
Si, Xiaohan; Zhang, Shuai - In: International review of economics & finance : IREF 98 (2025), pp. 1-18
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Sovereign debt markets and resilience in a heterogeneous union : on the interaction of European economic and national fiscal policies
Spronsen, Josha van - 2025
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