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1141
Gravity Chains: Estimating bilateral trade flows when parts and components trade is important
Published 2014-11-01“…Journal of Banking and Financial Economics…”
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Article -
1142
Belize’s 2016–17 Sovereign Debt Restructuring – Third Time Lucky?
Published 2020-12-01“…Journal of Banking and Financial Economics…”
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1143
Unstash the Cash! Corporate Governance Reform in Japan
Published 2017-01-01“…Journal of Banking and Financial Economics…”
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1144
Investigating Impact of US, Europe, Frontier and BRIC Stock Markets on Indian Financial Stress Index
Published 2016-06-01“…Journal of Banking and Financial Economics…”
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1145
The Role of the Media in the Inflation Expectation Formation Process
Published 2022-06-01“…Visnyk of the National Bank of Ukraine…”
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1146
A Heatmap for Monitoring Systemic Financial Stability Risks in Ukraine
Published 2022-06-01“…Visnyk of the National Bank of Ukraine…”
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1147
A global perspective on inflation and propagation channels
Published 2015-03-01“…Journal of Banking and Financial Economics…”
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1148
Animal Spirits and Risk in Financial Markets
Published 2018-02-01“…Journal of Banking and Financial Economics…”
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1149
The use of the bootstrap method for the assessment of investment effectiveness and risk – the case of confidence intervals estimation for the Sharpe ratio and TailVaR
Published 2020-10-01“…Journal of Banking and Financial Economics…”
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1150
Wage-setting Behavior in France: Additional Evidence from an Ad-hoc Survey
Published 2015-03-01“…Journal of Banking and Financial Economics…”
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1151
The Impact of Investor Sentiment on Direction of Stock Price Changes: Evidence from the Polish Stock Market
Published 2021-12-01“…Journal of Banking and Financial Economics…”
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1152
Is Uruguay More Resilient This Time? Distributional Impacts of a Crisis Similar to the 2001–02 Argentine Crisis
Published 2015-08-01“…Journal of Banking and Financial Economics…”
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1153
Financial Stability Reports in Latin America and the Caribbean
Published 2019-01-01“…Journal of Banking and Financial Economics…”
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1154
Good Practices in Empirical Corporate Finance and Accounting Research
Published 2018-08-01“…Journal of Banking and Financial Economics…”
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1155
The Role of Foreign Firm Characteristics, Absorptive Capacity and the Institutional Framework for FDI Spillovers
Published 2015-04-01“…Journal of Banking and Financial Economics…”
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1156
Euro-area labour markets: Different reaction to shocks?
Published 2014-11-01“…Journal of Banking and Financial Economics…”
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1157
Short-Term Forecasting of Global Energy and Metal Prices: VAR and VECM Approaches
Published 2022-12-01“…Visnyk of the National Bank of Ukraine…”
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1158
An Econometric Analysis for the Bid-Ask Spread in the Emerging Chilean Capital Market
Published 2017-05-01“…Journal of Banking and Financial Economics…”
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1159
DO FIRM CHARACTERISTICS MATTER IN EXPLAINING THE LAPSE RATE OF LIFE INSURANCE POLICIES AND FAMILY TAKAFUL CERTIFICATES IN MALAYSIA?
Published 2025-01-01“…The International Journal of Banking and Finance…”
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1160
Options Pricing by Monte Carlo Simulation, Binomial Tree and BMS Model: a comparative study
Published 2019-01-01“…Journal of Banking and Financial Economics…”
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