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  • Taking.pdf
       Information Disclosure and Bank Risk‐Taking

  • 121.5 KB
  • 2019-8-23
  • AFA-2017-Part02.zip
       AFA

    本附件包括:
    • AFA2017-A Clash of Cultures_ The Governance and Valuation Effects of Multiple Corporate Cultures.pdf
    • AFA2017-A First Glimpse into the Short Side of Hedge Funds.pdf
    • AFA2017-Access to Credit and Stock Market Participation.pdf
    • AFA2017-Aggregate Effects of Collateral Constraints.pdf
    • AFA2017-Analyst Coverage Network and Corporate Financial.pdf
    • AFA2017-Anchoring and Acquisitions.pdf
    • AFA2017-Anomalies and News.pdf
    • AFA2017-Are CEOs Different_ Characteristics of Top Managers.pdf
    • AFA2017-Asset Encumbrance, Bank Funding, and Financial Fragility.pdf
    • AFA2017-Asset Management Within Commercial Banking Groups_ International Evidence.pdf
    • AFA2017-Bank Complexity and Risk Management_ Evidence from Operational Risk Events in U.S. Bank Holding Companies.pdf
    • AFA2017-Bank Culture.pdf
    • AFA2017-Bank Resolution and the Structure of Global Banks.pdf
    • AFA2017-Can Decentralized Markets Be More Efficient_.pdf
    • AFA2017-Can Paying Firms Quicker Affect Aggregate Employment_.pdf
    • AFA2017-Career Concerns and Strategic Effort Allocation by Analysts.pdf
    • AFA2017-Cash-flow timing vs. discount-rate timing_ A decomposition of mutual Fund.pdf
    • AFA2017-Centralized Trading, Transparency and Interest Rate Swap Market Liquidity_ Evidence from the Implementation of the Dodd-Frank Act.pdf
    • AFA2017-Compensation goals and firm performance.pdf
    • AFA2017-Competition and Innovation in the Presence of Financial Constraints.pdf
    • AFA2017-Competition, Reach for Yield, and Money Market Funds.pdf
    • AFA2017-Corporate Culture_ Evidence from the Field.pdf
    • AFA2017-Correlated High-Frequency Trading.pdf
    • AFA2017-Creditor Rights and Relationship Banking_ Evidence from a Policy Experiment.pdf
    • AFA2017-Cross-Currency Basis.pdf
    • AFA2017-Data Abundance and Asset Price Informativeness.pdf
    • AFA2017-Dividend Dynamics, Learning, and Expected Stock Index Returns.pdf
    • AFA2017-Do Bank Boards Focus Adequately On Risk_.pdf
    • AFA2017-Do Criminal Politicians affect Firm Investment and Value_ Evidence from a Regression Discontinuity Approach.pdf
    • AFA2017-Do High Frequency Traders Need to be Regulated_ Evidence from Trading on Macroeconomic Announcements.pdf
    • AFA2017-Do Personal Ethics Influence Corporate Ethics_.pdf
    • AFA2017-Does Central Bank Tone Move Asset Prices_.pdf
    • AFA2017-Does a Larger Menu Increase Appetite_ Collateral Eligibility and Bank Risk-Taking.pdf
    • AFA2017-Economic Uncertainty, Aggregate Debt, and the Real Effects of Corporate Finance.pdf
    • AFA2017-Endogenous Specialization and Dealer Networks.pdf
    • AFA2017-Entangled Risks in Incomplete FX Markets.pdf
    • AFA2017-Estimating Information Asymmetry in Securities Markets.pdf
    • AFA2017-Executive Job Matching_ Estimates from a Dynamic Model.pdf
    • AFA2017-Experimenting with Entrepreneurship_ The Effect of Job-Protected Leave.pdf
    • AFA2017-Fast Traders Make a Quick Buck_ The Role of Speed in Liquidity Provision.pdf
    • AFA2017-Financial Conglomerate Affiliation and Hedge Funds’ Countercyclical Risk Taking.pdf
    • AFA2017-Financial Intermediation in Private Equity_ How Well do Funds of Funds Perform_.pdf
    • AFA2017-Financing Payouts.pdf
    • AFA2017-Flying Under the Radar_ The Effects of Short-Sale Disclosure Rules on Investor Behavior and Stock Prices.pdf
    • AFA2017-Generalized Recovery.pdf
    • AFA2017-Good and Bad CEOs.pdf
    • AFA2017-How should investors respond to increases in volatility_.pdf
    • AFA2017-In-Group Bias in Financial Markets.pdf
    • AFA2017-Informed Trading and Option Prices_ Evidence from Activist.pdf
    • AFA2017-Innovation Waves, Investor Sentiment, and Mergers.pdf
    • AFA2017-Insider Purchases after Short Interest Spikes_ a False Signaling Device_.pdf
    • AFA2017-Institutional Herding and Its Price Impact_ Evidence from the Corporate Bond Market.pdf
    • AFA2017-Integrity Culture and Analyst Forecast Quality .pdf
    • AFA2017-Interfund lending in mutual fund families_ Role of internal capital markets.pdf
    • AFA2017-Intraday Trading Invariance in the E-mini S&P 500 Futures Market.pdf
    • AFA2017-It Depends on Where You Search_ A Comparison of Institutional and Retail Attention.pdf
    • AFA2017-Learning across Peer Firms and Innovation Waves.pdf
    • AFA2017-Macro Announcement Premium and Risk Preferences.pdf
    • AFA2017-Maximum likelihood estimation of the equity.pdf
    • AFA2017-Minimum Payments and Debt Paydown in Consumer Credit Cards.pdf
    • AFA2017-Multiple Equilibria in Noisy Rational Expectations Economies.pdf
    • AFA2017-Non-rating revenue and conflicts of interest.pdf
    • AFA2017-Oil Volatility RisK.pdf
    • AFA2017-One thorn of experience_ CEOs, strikes, and financial leverage.pdf
    • AFA2017-Opportunistic Proposals by Union Shareholders.pdf
    • AFA2017-Optimal Financing for R&D-intensive Firms.pdf
    • AFA2017-Parsing the Content of Bank Supervision.pdf
    • AFA2017-Patents as Substitutes for Relationships.pdf
    • AFA2017-Pay Now or Pay Later__ The Economics within the Private Equity Partnership.pdf
    • AFA2017-Pension Fund Board Composition and Investment Performance_ Evidence from Private Equity.pdf
    • AFA2017-Performance-Vesting Provisions in Executive Compensation .pdf
    • AFA2017-Private Equity’s Unintended Dark Side_ On the Economic Consequences of Excessive Delistings.pdf
    • AFA2017-Real Exchange Rates and Currency Risk Premia.pdf
    • AFA2017-Relative Pay for Non-Relative Performance_ Keeping up with the Joneses with Optimal Contracts.pdf
    • AFA2017-Rethinking Performance Evaluation.pdf
    • AFA2017-Risk Management in Financial Institutions.pdf
    • AFA2017-Robust Bond Risk Premia.pdf
    • AFA2017-Shareholder-Creditor Conflict and Payout Policy_ Evidence from Mergers between Lenders and Shareholders.pdf
    • AFA2017-Size Discovery.pdf
    • AFA2017-Skewness Consequences of Seeking Alpha.pdf
    • AFA2017-Slow Trading and Stock Return Predictability.pdf
    • AFA2017-Sovereign CDS Spreads with Credit Rating.pdf
    • AFA2017-Speed and Expertise in Stock Picking_ Older, Slower, and Wiser_ .pdf
    • AFA2017-Standing on the Shoulders of Giants_ The Effect of Passive Investors on Activism.pdf
    • AFA2017-Stock Market Coverage.pdf
    • AFA2017-Taking Orders and Taking Notes_ Dealer Information Sharing in Financial Markets.pdf
    • AFA2017-Term Structure of Interest Rates with Short-run and Long-run Risks.pdf
    • AFA2017-The Causal Effect of Limits to Arbitrage on Asset Pricing Anomalies.pdf
    • AFA2017-The Cross-Section of Subjective Bond Risk Premia.pdf
    • AFA2017-The Effect of Option-based Compensation on Payout Policy_ Evidence from FAS 123R.pdf
    • AFA2017-The Equity Premium and the One Percent.pdf
    • AFA2017-The Face of Risk_ CEO Testosterone and Risk Taking Behavior.pdf
    • AFA2017-The Impact of Sovereign Shocks.pdf
    • AFA2017-The Liquid Hand-to-Mouth_ Evidence from Personal.pdf
    • AFA2017-The Misguided Beliefs of Financial Advisors.pdf
    • AFA2017-The Momentum of News .pdf
    • AFA2017-The Term Structure of Implied Volatility and Volatility Risk Premia in the FX Market.pdf
    • AFA2017-The Value of Information for Contracting.pdf
    • AFA2017-The Value of Trading Relationships in Turbulent Times.pdf
    • AFA2017-The real effects of credit ratings_ Evidence from corporate asset sales.pdf
    • AFA2017-Time-Varying Crash Risk.pdf
    • AFA2017-Uncertainty, the Exchange Rate and International Capital Flows.pdf
    • AFA2017-Unemployment and Credit Risk.pdf
    • AFA2017-Variance Risk Premia on Stocks and Bonds.pdf
    • AFA2017-Weighted Least Squares Estimates of Return Predictability Regressions.pdf
    • AFA2017-What Drives Liquidity_ Identifying Shocks to Market Makers' Supply of Liquidity and Their Role in Economic Fluctuations.pdf
    • AFA2017-What's Behind the Smooth Dividends_ Evidence from Structural Estimation.pdf
    • AFA2017-When Do Laws and Institutions Affect Recovery Rates on Collateral_.pdf
    • AFA2017-Where the Heart Is_ Information Production and the Home Bias.pdf
    • AFA2017-Wholesale Funding Runs.pdf
    • AFA2017-Why does fast loan growth predict poor performance for banks_ .pdf
  • 77.41 MB
  • 2016-12-30
  • Downloads.rar

    本附件包括:
    • Does credit securitization reduce bank risk .pdf
    • Okabe-1998-Journal_of_Applied_Corporate_Finance.pdf
  • 612.2 KB
  • 2015-5-5
  • The Effect of Income Diversification on Bank Risk.rar

    本附件包括:
    • The Effect of Income Diversification on Bank Risk.pdf
  • 96.86 KB
  • 2014-12-27
  • Monetary policy and bank risk taking.rar

    本附件包括:
    • Monetary policy and bank risk taking.pdf
  • 170.08 KB
  • 2013-1-23
  • Monetary Policy and Excessive Bank Risk Taking.apdf.rar

    本附件包括:
    • Monetary Policy and Excessive Bank Risk Taking.apdf.pdf
  • 302.07 KB
  • 2013-1-23
  • Monetary Policy and Bank Risk Taking.rar

    本附件包括:
    • Monetary Policy and Bank Risk Taking.pdf
  • 281.72 KB
  • 2013-1-23
  • Gelter论文.zip
       论文集第一部分

    本附件包括:
    • 1989-Agency Costs,Net Worth,and Business Fluctuations.PDF
    • 1997-‘‘Overreaction’’ of Asset Prices in General Equilibrium.PDF
    • 1998-Nonetary pilicy rules in practice-some international evidence.PDF
    • 1999-Inflation Dynamics-A structural econometric analysis.PDF
    • 1999-Monetary Policy and Asset Price Volatility.PDF
    • 1999-The Science of Monetary Policy-a new keynesian perspective.PDF
    • 2000-MONETARY POLICY RULES AND MACROECONOMIC Stability-evidence and some theory.PDF
    • 2001-A simple framework for international monetary policy analysis.PDF
    • 2001-European in#ation dynamics.PDF
    • 2001-Notes on Estimating the Closed Form of the Hybrid New Phillips Curve.PDF
    • 2001-OPTIMAL MONETARY POLICY IN OPEN VERSUS CLOSED ECONOMIES-an integrated approach.PDF
    • 2001-Robustness of the Estimates of the Hybrid New Keynesian Phillips Curve.PDF
    • 2003-Comments on-'The Zero Bound on Interest Rates and Optimal Monetery Policy'by Eggerston and Woodford.PDF
    • 2003-External Constraints on Monetary Policy.PDF
    • 2003-MEDIUM TERM BUSINESS CYCLES.PDF
    • 2003-Markups, Gaps, and the Welfare Costs of.PDF
    • 2007-Macroeconomic Modeling for Monetary Policy Evaluation.PDF
    • 2008-A Phillips Curve with an Ss Foundation.PDF
    • 2008-An Estimated Monetary DSGE Model with Unemployment and staggered nominal wage bargaining.PDF
    • 2008-CURRENT ACCOUNT DYNAMICS AND MONETARY POLICY.PDF
    • 2008-Unemployment Fluctuations with Staggered Nash Wage Bargaining.PDF
    • 2009-A Model of Unconventional Monetary Policy.PDF
    • 2009-Financial Intermediation and Credit Policy.PDF
    • 2009-Technology Innovation and Diusion as Sources of output and asset price fluctuations.PDF
    • 2010-Financial Crises, Bank Risk Exposure and Government Financial Policy.PDF
    • Financial Crises,Bank Risk Exposure and Government Ginancial Policy.PDF
    • Should Central Banks Respond to Movements in Asset Prices.PDF
    • 数量化经济周期框架下的金融加速器理论(货币经济学第21章).PDF
  • 12.73 MB
  • 2012-9-30
  • 335-bank risks and the effects of monetary policy in China.rar

    本附件包括:
    • 335-bank risks and the effects of monetary policy in China.pdf
  • 456.2 KB
  • 2012-4-19
  • 新建文件夹.rar

    本附件包括:
    • Concealment of risk and regulation of bank risk taking.pdf
    • An empirical study of depositor sensitivity to bank risk.pdf
    • Commercial Bank Risk Management_ An Analysis of the Process .pdf
    • Corporate financial distress diagnosis model and application in credit rating for listing firms in China .pdf
    • Economics, Emissions Scenarios and the Work of the IPCC .pdf
    • A New Approach in Financial Modelling with the Aid of Artificial Neural Networks .pdf
    • Bank risk and real estate_ An asset pricing perspective .pdf
    • Bank Risk, Capitalization, and Operating Efficiency .pdf
    • Banking structure and financial stability_a comparison of Chinese and German banking systems.pdf
    • Capital Liquidity and Residents’ Consumption Decision_An Asymmetry Analysis of Economic Prosperity.pdf
  • 1.32 MB
  • 2012-4-7
  • Financial Risk Management.rar
       Financial Risk Management

    本附件包括:
    • Liquidty Risk (student).ppt
    • Market Risk - I 2010.ppt
    • Market Risk - II 2010.ppt
    • Operational Risk (student).ppt
    • Safety Nets 2010 (student).ppt
    • Bank Risks Student.ppt
    • Capital adequacy (student).ppt
    • Core Principles 2010.pdf
    • Core_Principles_of_Banking_Supervision__student_.ppt
    • Credi Risk - 1 (student).ppt
    • Credit risk 2.doc
    • Finacial Stability 2010 Student.ppt
    • Introductory 2010 student.ppt
  • 2.73 MB
  • 2011-6-28
  • 论文ji3.rar

    本附件包括:
    • 335-bank risks and the effects of monetary policy in China.pdf
    • 284-是谁加剧了知情交易.pdf
    • 285-我国外汇市场压力研究--基于马尔可夫区制转换方法(定稿陈娟).pdf
    • 287-主权财富基金股票投资行为的微观经济效应 ——基于事件研究法的实证研究.doc
    • 290-外资银行在华经营战略及其效率研究.doc
    • 293-信贷过程中的社会网络运行机制.doc
    • 295-中国家庭负债的状况及影响因素的实证研究.doc
    • 296-基于动态随机一般均衡模型的房地产市场结构与宏观经济波动研究(中国金融学年会).pdf
    • 297-预防性储蓄动机强度的时序变化与地区差异——基于中国城镇居民的实证研究.doc
    • 300-欧洲主权债务危机:根源、影响、治理和警示(7届金融学年会).doc
    • 301-基于二手市场与理性预期的房地产市场机制研究.pdf
    • 302-金融海啸对金融上市公司股价异常变动影响的实证研究.doc
    • 303-基于银行破产的美国金融危机成因研究.doc
    • 305-中国宏观经济时序的平稳性再考察.pdf
    • 308-长寿风险对我国养老金体制的影响分析(胡仕强).doc
    • 310-中国城镇居民预防性储蓄动机强度估计.doc
    • 314-中国农村金融市场中非价格信贷配给的理论和实证分析——基于农户层面的经济分析.doc
    • 315-民间金融与农户借贷选择.pdf
    • 318-我国房市泡沫的决定性因素分析:理论与实证.pdf
    • 322-小额信贷缓解农户正规信贷配给了吗 ?.doc
    • 330-谁获得了更多的隐性收入.pdf
    • 334-When Does Capital Adequacy Ratio Fail to Indicate Capital Adequacy.pdf
    • 338-土地租赁、信息甄别与农村信用社贷款定价.doc
    • 339-公允价值会计与银行系统性风险研究.doc
    • 341-我国商业银行内部欺诈风险度量研究.doc
    • 343-银行个体特征对贷款行为差异性的影响.doc
    • 344-中国商业银行效率研究——基于资源 型两阶段DEA模型的平滑自助法实证分析.doc
    • 347-中国银行体系脆弱性的动态分析与预测.doc
    • 349-不良贷款约束下的中国上市商业银行效率和全要素生产率研究.doc
    • 352-小额贷款业务效率实证研究.doc
    • 361-信息披露、市场预期与国有商业银行的竞争策略.doc
    • 363-银行资本、银行信贷与宏观经济波动.pdf
    • 366-非利息收入有利于降低银行风险吗final.doc
    • 369-商业银行信用集中风险与经济资本测度研究.doc
    • 373-银行所有类型与上市公司流动性.pdf
  • 7.12 MB
  • 2011-5-9
  • 2.rar

    本附件包括:
    • 335-bank risks and the effects of monetary policy in China.pdf
    • 1-INITIAL RETURN IS SAMLLER THAN UNDERPRICING.pdf
    • 104-全球金融一体化与中国对外资产结构异象.pdf
    • 126-人民币汇率预期特征研究——基于金融机构调查数据的实证分析(李晓峰).pdf
    • 159-基于生产函数法的季度潜在产出估计.pdf
    • 168-我国货币政策工具最优选择的考 察-基于普勒规则的扩展.pdf
    • 182-最优财政和货币政策及其福利效应分析.pdf
    • 190-经济二元、结构效应与转轨时期的货币长期非中性.pdf
    • 2-It Pays to Follow the Leader- Acquiring Targets Picked by Private Equity.pdf
    • 226-One Factor CVA Model for CDS with Counterparty Credit Risk in the Reduced Form Framework.pdf
    • 234-投资者情绪对证券价格波动的影响的理论分析、建模与模拟-会议投稿.pdf
    • 245-带两因素随机波动的衍生证券最优投资策略.pdf
    • 252-风险中性高阶矩:特征、风险与应用.pdf
    • 259-金融资产的动态非线性相关--一个新的模型.pdf
    • 260-包含定价噪音期权价格中的风险中性密度估计.pdf
    • 284-是谁加剧了知情交易.pdf
    • 285-我国外汇市场压力研究--基于马尔可夫区制转换方法(定稿陈娟).pdf
    • 296-基于动态随机一般均衡模型的房地产市场结构与宏观经济波动研究(中国金融学年会).pdf
    • 301-基于二手市场与理性预期的房地产市场机制研究.pdf
    • 305-中国宏观经济时序的平稳性再考察.pdf
    • 315-民间金融与农户借贷选择.pdf
    • 318-我国房市泡沫的决定性因素分析:理论与实证.pdf
    • 330-谁获得了更多的隐性收入.pdf
    • 334-When Does Capital Adequacy Ratio Fail to Indicate Capital Adequacy.pdf
    • 363-银行资本、银行信贷与宏观经济波动.pdf
    • 37-经营者将要退休是否影响公司绩效.pdf
    • 373-银行所有类型与上市公司流动性.pdf
    • 376-市场群体的交易性条件反射及其量化方法.pdf
    • 397-消费攀比效用函数的资产定价研究——基于马尔科夫状态转移的禀赋过程(陈瑞).pdf
    • 398-Pricing of Cross-sectional Idiosyncratic Volatility and Liquidity Bias in Emerging Market.pdf
    • 399-Equity-link Momentum.pdf
    • 40-寻租还是政府压力:基金代表了谁的利益(江萍).pdf
    • 403-Jump Spillover in Energy Futures Markets Implications for Portfolio Risk Diversification.pdf
    • 406-Do prices underreact to information.pdf
    • 407-Intraday Price Discovery and Volatility Transmission in Stock Index and Stock Index Futures Markets Evidence from China.pdf
    • 409-私有信息风险被市场定价了吗?.pdf
    • 419-公司规模和账面市值比与违约风险关系的横截面分析.pdf
    • 427-Improved Stock Market Prediction by Comb ining SVM and EMD(金融学年会).pdf
    • 435-不对称信息下的资产链定价研究.pdf
    • 441-基于不完全信息视角的中国股市投资者认知研究.pdf
    • 445-信息市场、预期消费与股市收益变动--基于投资者信息选择行为的分析(胥爱欢).pdf
    • 453-Index Investments and Financialization of Commodities.pdf
    • 459-修改稿_林建浩_中山大学_《通货膨胀与股票收益的关系研究——基于具有财务杠杆与货币效用的资产定价模型》.pdf
    • 46-股权分置改革与上市公司业绩薪酬实证研究.pdf
    • 462-Access to Equity Markets, Corporate Investments and Stock Returns International Evidence.pdf
    • 54-终极控制权法制环境与上市公司现金持有.pdf
    • 57-现金、股利与独立董事有效性.pdf
    • 58-企业生命周期视角下董事会治理结构演变及影响因素.pdf
    • 59-社会目标、雇员规模与民营化定价.pdf
    • 68-经理人变更具有治理效应吗.pdf
    • 69-中国上市公司代理成本的估算.pdf
    • 75-Will Currency Appreciation Crowd Out Domestic Consumption:Evi dence from China, Japan and Korea.pdf
  • 20.06 MB
  • 2010-12-2
  • (Trading) Citibank Risk Management (Citibank, 1994, Self-Instruction Series).zip

    本附件包括:
    • (Trading)CITIBANK_Risk_Management_(CITIBANK,1994,Self-Instruction_series)_[pdf].pdf
  • 423.83 KB
  • 2010-3-6
  • Understanding International Bank Risk.rar

    本附件包括:
    • Understanding International Bank Risk.pdf
  • 2.31 MB
  • 2009-8-8
  • 20090729.rar

    本附件包括:
    • [ADVERTISEMENT] Solution Liquidity Risk.pdf
    • [ADVERTISEMENT] Spotlight on Liquidity risk management.pdf
    • [BOOK] Chapter3_4 Liquidity Risk.pdf
    • [BOOK] Gaining a Competitive Advantage Through Advanced Liquidity Risk Management.pdf
    • [BOOK] Liquidity Risk.pdf
    • [BOOK] Liquidity Risk Managing Asset and Funding Risk.pdf
    • [BOOK] Principles for Sound Liquidity Risk Management and Supervision.pdf
    • [PAPER] A Consultative Paper on Liquidity Risk.pdf
    • [PAPER] Annex market breakdown due to asymmetric information the model of Flannery (1996).pdf
    • [PAPER] Banking System Stability a Cross-Atlantic Perspective.pdf
    • [PAPER] Banks' Advantage in Hedging Liquidity Risk Theory and Evidence from the Commercial Paper Market.pdf
    • [PAPER] Banks as Liquidity Providers an Explanation for the Co-existence of Lending and Deposit-taking.pdf
    • [PAPER] Contagion and Trade Why Are Currency Crises Regional.pdf
    • [PAPER] Debt Relief What Do the Markets Think.pdf
    • [PAPER] DECISION on minimum standards for liquidity risk management in banks.pdf
    • [PAPER] Estimation of liquidity risk in banking.pdf
    • [PAPER] Financial Crisis and New Dimensions of Liquidity Risk Rethinking Prudential Regulation and Supervision.pdf
    • [PAPER] Foreign Exchange and Liquidity Risk Softdata, Bank and Financial Consulting.pdf
    • [PAPER] Foreshadowing LTCM The Crisis of 1763.pdf
    • [PAPER] Funding Liquidity Risk in a Quantitative Model of Systemic Stability.pdf
    • [PAPER] How Do Banks Manage Liquidity Risk Evidence From the Equity and Deposit Market in the Fall of 1998.pdf
    • [PAPER] How Might Financial Market Information Be Used for Supervisory Purposes.pdf
    • [PAPER] How to Measure and Manage Liquidity Risk, Interest Rate Risk and Foreigh Exhange Risk Using Gap Analysis.pdf
    • [PAPER] Instruction on Bank Liquidity.pdf
    • [PAPER] Liquidity and Transparency in Bank Risk Management.pdf
    • [PAPER] Liquidity risk and financial instability-an alternative approach to calculate the probability of bank exit.pdf
    • [PAPER] Liquidity Risk and Limited ArbitrageAre Banks Helping Hedge Funds Get Rich.PDF
    • [PAPER] Liquidity Risk and Limited ArbitrageWhy Banks Lend to Opaque Hedge Funds.pdf
    • [PAPER] Liquidity Risk Financial Disclosure the Case of Large European Financial Groups.pdf
    • [PAPER] Liquidity Risk Financial DisclosureThe Case Of Large European Financial Groups.pdf
    • [PAPER] Liquidity Risk in Securities Settlement.pdf
    • [PAPER] Liquidity Risk Management.pdf
    • [PAPER] Liquidity Risk Management Guideline.pdf
    • [PAPER] Liquidity Risk Management Requirements For Banks Liquidity Risk Management.pdf
    • [PAPER] Liquidity Risk Management_2.pdf
    • [PAPER] Liquidity Risk Management—More Important Than Ever.pdf
    • [PAPER] Liquidity Risk Supervision - A Revised Minimum Liquid Asset Framework.pdf
    • [PAPER] Liquidity Risk Supervision and Challenges in Liquidity Risk Management.pdf
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