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Journal of Banking and Finance 2019年第12期

[发布日期]:2020-03-02  [浏览次数]:

目录
Loan supply, credit markets and the euro area financial crisis
贷款供给、信贷市场与欧元区金融危机
Stock vs. Bond yields and demographic fluctuations
股票与债券收益率及人口波动
Endogenous asymmetric money illusion
内生非对称货币幻觉
Skewness preference and the popularity of technical analysis
偏态偏好与技术分析的普及
Network origins of portfolio risk
投资组合风险的网络来源
Geographic diversification and credit risk in microfinance
小额信贷的地域多元化与信用风险
News media coverage and corporate leverage adjustments
新闻媒体报道与企业杠杆调整
Bank management expertise and asset securitization policies
银行管理专业知识与资产证券化政策
Banking regulation and market making
银行监管与做市
The effect of experts’ and laypeople’s forecasts on others’ stock market forecasts
专家与外行预测对他人股市预测的影响  

原文链接:
https://www.sciencedirect.com/journal/journal-of-banking-and-finance/issues  

翻译者:侯思远



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