Central Bank Research Hub - JEL classification G32: Financing Policy; Financial Risk and Risk Management; Capital and Ownership Structure

Title Author(s)

Banks’ equity stakes in borrowing firms: A corporate finance approach

Bank of Finland Discussion Papers [View] (Paper: 2003/13, 01.06.2003)

JEL: D82, G32

Euro area corporate debt securities market: first empirical evidence

European Central Bank Working papers [View] (Paper: 0164, 02.04.2003)

JEL: E44, G32

Equilibrium in financial markets with adverse selection

Bank of Finland Discussion Papers [View] (Paper: 2003/06, 01.04.2003)

JEL: D58, G14, G20, G28, G32

Simulation-based stress testing of banks’ regulatory capital adequacy

Bank of Finland Discussion Papers [View] (Paper: 2003/04, 01.04.2003)

JEL: G21, G32

Are credit ratings procyclical?

Bank for International Settlements Working papers [View] (Paper: 129, 27.02.2003)

JEL: C25, C81, G20, G28, G32

Should banks be diversified? Evidence from individual bank loan portfolios

Bank for International Settlements Working papers [View] (Paper: 118, 06.02.2003)

JEL: G21, G28, G31, G32

The impact of corporate risk management on monetary policy transmission: some empirical evidence

Bank for International Settlements Working papers [View] (Paper: 095, 06.02.2003)

JEL: E44, E52, G31, G32

Corporate hedging: the impact of financial derivatives on the broad credit channel of monetary policy

Bank for International Settlements Working papers [View] (Paper: 094, 06.02.2003)

JEL: E44, E52, G31, G32

Capital Structure and Firm Performance: A New Approach to Testing Agency Theory and an Application to the Banking Industry

Board of Governors of the Federal Reserve System FEDS series [View] (Paper: 2002-54, 05.02.2003)

JEL: G21, G28, G32, G34

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