-
61
Baisse des taux de profit et d’intérêt en France
Published 2011-06-01Subjects: “…financial crisis…”
Get full text
Article -
62
1929 EKONOMİK BUHRANI İLE SON DÖNEM GLOBAL KRİZİN KARŞILAŞTIRILMASI
Published 2010-06-01Subjects: Get full text
Article -
63
1929 EKONOMİK BUHRANI İLE SON DÖNEM GLOBAL KRİZİN KARŞILAŞTIRILMASI
Published 2010-06-01Subjects: Get full text
Article -
64
Dynamic Integration and Segmentation Among Equity Markets of OECD Countries
Published 2021-05-01Subjects: Get full text
Article -
65
-
66
-
67
İşletmelerde Sermaye Yapısı ile Kârlılık Arasındaki İlişkinin Analizi: 1992-2011 Yılları Arası Finansal Krizler Odaklı BIST’te Bir Uygulama
Published 2013-10-01Subjects: “…return on sales and financial crisis.…”
Get full text
Article -
68
The Dollar and Gold: Which is the Safest Haven? COVID-19 Evidence
Published 2023-01-01Subjects: Get full text
Article -
69
Company-Based Agreements Secure Employment
Published 2022-09-01“…During the pandemic, as in the financial crisis, agreements on adjustments to working hours (internal flexibility) versus monetary ones dominate. …”
Get full text
Article -
70
Le football professionnel en Europe est-il en crise ? Une réponse régulationniste
Published 2017-07-01“…From researchers’ point of view, the European professional football needs regulation because it is in financial crisis. That means it requires more regulatory measures to control clubs, as in the North American sports. …”
Get full text
Article -
71
Le Chaebol après la crise financière de 1997
Published 2008-11-01“…The Chaebol after the 1997. Financial Crisis Changes and Continuity. The paper presents the changes undergone by the Korean Chaebols after the financial crisis of 1997. …”
Get full text
Article -
72
Partially Overlapping Ownership and Contagion in Financial Networks
Published 2017-01-01“…Both the probability and the average extent of a contagion begin to rise in 2007 prior to the US financial crisis. Including a common asset in the model increases both the probability and extent of contagion, especially during the years of the financial crisis. …”
Get full text
Article -
73
A Regulation Model for the Solvency of Banking System: Based on the Pinning Control Theory of Complex Network
Published 2017-01-01“…A dynamic model is proposed based on the pinning control theory of complex network in order to simulate government bailouts against financial crisis and then is applied to a stress test of China’s interbank borrowing and lending network from 2007 to 2014. …”
Get full text
Article -
74
Testing the Validity of Spatial Beta Convergence for the Countries of Southern Europe
Published 2024-12-01“…However, the first and second waves of the economic and financial crisis and the pandemic had an uneven impact on the region's counties, which further increased territorial disparities. …”
Get full text
Article -
75
The «Group of Twenty», IMF and EU and Reforming of Global Governance
Published 2014-02-01“…Special attention is given to results of cooperation of the IMF and the "Group of Twenty"in the context of the world financial crisis 2008-2009. This article mentions the key benchmarks of the historical development of world economy: foundation of the Bretton Woods financial system, rejection of the gold standard at the Jamaica Conference, transition to the floating exchange rates, the wave of crises in the 1990-s, the world financial crisis of 2008-2009. …”
Get full text
Article -
76
POST CRISIS BANKING SECTOR REGULATION AND EUROPEAN UNION ECONOMIC GROWTH NEXUS
Published 2021-11-01“…Higher regulatory capital and liquidity requirements are the main consequences of the global financial crisis, the pro-cyclical contraction of bank credit, and the advanced adaptive consolidation of the banking sector. …”
Get full text
Article -
77
Portfolio Composition and Home Ownership Importance for the Wealth Distribution in Europe
Published 2023-12-01“…The study examines the evolution of household portfolios after the 2008 financial crisis, with housing assets found to be one of the key drivers. …”
Get full text
Article -
78
FIRM-SPECIFIC CHARACTERISTICS, MARKET RISKS AND ASSET QUALITY OF DEPOSIT MONEY BANKS IN NIGERIA
Published 2023-11-01“…Based on these findings, the study concluded that diversification, profitability, capital adequacy, leverage, inflation and financial crisis are the major drivers of bank’s asset quality in Nigeria. …”
Get full text
Article -
79
The impact of the COVID-19 pandemic on trends in the European banking sector
Published 2022-01-01“…This article gives a summary of key developments in the European banking industry before and during the global financial crisis, with a focus on trends following the COVID-19 pandemic outbreak. …”
Get full text
Article -
80
Enacting efficient markets: The performativity of quantitative easing
Get full text
Article