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81
Pricing Corporate Bonds with Credit Risk, Liquidity Risk, and Their Correlation
Published 2021-01-01“…Using numerical examples, we analyze the role of the correlation between credit and liquidity in bond pricing, especially during a financial crisis. We document that the varying correlation between default and illiquidity explains the phenomenon of bond death spiral observed in a financial crisis. …”
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82
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. …”
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83
Application of Big Data Complexity Analysis Hedging Operation of Derivative Financial Products
Published 2021-01-01“…This study also found that companies with higher growth investment opportunities, larger size, and higher financial crisis costs will tend to use derivative financial products for hedging. …”
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84
Coping with a Money Crunch: Values, Goals, and Standards
Published 2009-04-01“…Gutter, helps people experiencing a financial crisis decide on goals and set priorities. Published by the UF Department of Family Youth and Community Sciences, March 2009. …”
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85
Consumer Credit as a Provision of General Interest?
Published 2022-03-01“…As was the case in the financial crisis of 2008, we now have an opportunity to rethink the role of consumer credit in society and design and create a legal framework that adequately reflects that role. …”
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86
Coping with a Money Crunch: Values, Goals, and Standards
Published 2009-04-01“…Gutter, helps people experiencing a financial crisis decide on goals and set priorities. Published by the UF Department of Family Youth and Community Sciences, March 2009. …”
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87
End the Recruitment Crisis!
Published 2020-07-01“…Abstract In contrast to the economic and financial crisis of 2009, the labour market has been hit harder during the coronavirus crisis in 2020. …”
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88
The Impact of Risk Criteria on the Continuity of Transactions of Companies Listed on the Tehran Stock Exchange, Emphasizing the Effective Role of Risk Management
Published 2023-10-01“…The risk of the relationship between the risk of financial crisis and the continuity of transactions was not confirmed.Originality/Value: No research has been done on Iran's transaction continuity and risk problem, even though investors and company managers usually consider both criteria. …”
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89
Performance Evaluation of Mutual Funds Using the Value-Based DEA Method
Published 2020-05-01“…Purpose: This study aims to investigate the impact of the financial crisis on the investment fund industry using dynamic evaluation and comparing the performance of investment funds in different years from 2012 to 2017. …”
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90
A Primer on Finance-Led Capitalism and Its Crisis
Published 2008-11-01“…The burst of the latest bubble, centered on the U.S. housing market, has triggered the most serious financial crisis in decades and a serious global downturn. …”
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91
Naissance et dynamique de la nouvelle pensée économique bolivienne
Published 2012-04-01“…With actual Financial crisis, economists’ work has been criticized by civil society. …”
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92
Il ritorno dell’ordoliberalismo in Europa
Published 2024-04-01“…The aim of the article is to show the major divergences between the two variants of neoliberalism (and between the Viennese and the Chicagoans), as well as to demonstrate that the economic governance of the European Union rests more on the latter than on the former, to the extent that today one could speak, especially after the 2008 financial crisis, of the ordoliberalization of Europe.…”
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93
THE IMPACT OF FUNDING STRUCTURE ON EU BANKING SECTOR STABILITY
Published 2020-12-01“…Our findings show that after the global financial crisis (GFC) there are four main funding models in the EU banking sectors. …”
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94
Beyond the WTO — Cornerstones of a Sustainable Trade Order after Corona
Published 2020-05-01“…The emerging and industrialised countries who have shown ever stronger protectionist tendencies since the financial crisis of 2008 are among the winners. The Corona crisis has exacerbated these tendencies. …”
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95
Réforme territoriale à l'italienne : d'une géographie des intérêts à une géographie de la rigueur
Published 2016-04-01“…Nowadays a change is taking place due to the action of the State in a context of economic rigor imposed by the financial crisis. The territorial reform affects the emergence of a new «metropolitan cities» level, the prospect of a dismantling of the provincie and a tendancial shrinking of the regional level.…”
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96
THE IMPACT OF FUNDING STRUCTURE ON EU BANKING SECTOR STABILITY
Published 2020-12-01“…Our findings show that after the global financial crisis (GFC) there are four main funding models in the EU banking sectors. …”
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97
Crisis and constitutional politics in Central Europe
Published 2025-01-01“…This paper aims to examine the impact of significant crisis situations on the constitutional framework over the past decade, including financial crisis, migration, pandemics and war. The paper focuses on the Visegrad countries, especially Hungary, and analyses the constitutional amendments adopted and the relevant constitutional court decisions. …”
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98
Global Value Chain and the Changing Roles of Country and Industry Effects in International Portfolio Diversification
Published 2024-01-01“…We find that in the upstream status of global value chain, country effects are relatively stronger than industry effects; industry effects dominate country effects downstream of the global value chain. During financial crisis, downstream in the value chain, the influence of industry effects waned and country effects rose. …”
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99
ECONOMIC AND FINANCIAL SITUATION OF HOUSEHOLDS IN POLAND – ANALYSIS AND DIAGNOSIS
Published 2017-12-01“…In recent years, after the global financial crisis in 2008, the global and domestic economy began to improve steadily. …”
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100
FEATURES OF INTEREST-BEARING MONETARY POLICY INSTRUMENTS OF THE CZECH NATIONAL BANK
Published 2020-05-01“…The features of the economic development of the Czech Republic after the global financial crisis, the role of the Czech National Bank in the formation of macroeconomic policies, as well as the peculiarities of monetary regulation in the study period have been defined in the article. …”
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