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

Title Author(s)

Multimarket trading and the cost of debt: evidence from global bonds,

European Central Bank Working papers [View] (Paper: 1212, 25.06.2010)

JEL: F36, G12, G15, G32

Growth strategies and value creation: what works best for stock exchanges?,

European Central Bank Working papers [View] (Paper: 1201, 25.06.2010)

JEL: D23, G32, L22

A systematic approach to multi-period stress testing of portfolio credit risk

Bank of Spain Working Papers [View] (Paper: 1018, 18.06.2010)

JEL: C15, G20, G28, G32

Credit Ratings and Bank Monitoring Ability

Philadelphia Fed Working Papers [View] (Paper: 10-21:, 04.06.2010)

JEL: D82, G18, G21, G24, G32, G33

Deriving the term structure of banking crisis risk with a compound option approach: the case of Kazakhstan

Deutsche Bundesbank Banking Supervision Discussion Papers [View] (Paper: 2010/01, 01.06.2010)

JEL: G12, G17, G18, G21, G32

Global Banks and International Shock Transmission: Evidence from the Crisis

New York Fed Staff reports [View] (Paper: 446, 12.05.2010)

JEL: E44, F36, G32

Deferred Compensation, Risk, and Company Value:Investor Reactions to CEO Incentives

New York Fed Staff reports [View] (Paper: 445, 30.04.2010)

JEL: G14, G32

The economic and financial situation of Italian non financial corporations: an international comparison

Bank of Italy Occasional Papers [View] (Paper: 66, 27.04.2010)

JEL: G32, L25

Governance of Italian pension funds: problems and solutions

Bank of Italy Occasional Papers [View] (Paper: 65, 27.04.2010)

JEL: G23, G32, J32

The pricing of government-guaranteed bank bonds

Bank of Italy Working Papers [View] (Paper: 753, 09.04.2010)

JEL: G12, G18, G21, G28, G32

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