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Results: 13,789
Number of items: 13,789
  • Open Access
    Driessen, J., Klaassen, P., & Melenberg, B. (2000). The performance of multi-factor term structure models for pricing and hedging caps and swaptions. (Discussion Paper; No. 2000-93). Tilburg University, Center for Economic Research.
  • Open Access
    Perotti, E. C., Laeven, L., & van Oijen, P. (2000). Confidence building in emerging stock markets. (William Davidson Institute Working Papers Series; No. 366). University of Michigan Business School, William Davidson Institute.
  • Open Access
    Modigliani, F., & Perotti, E. C. (2000). Security versus bank finance : the importance of a proper enforcement of legal rules. (FEEM Working Paper; No. 37.99). Fondazione Eni Enrico Mattei (FEEM).
  • Open Access
    Hommes, C. H. (2000). Financial markets as nonlinear adaptive evolutionary systems. (CeNDEF working paper; No. 00-03). CeNDEF, Department of Economics, University of Amsterdam.
  • Open Access
    Boot, A. W. A., & Ligterink, J. E. (2000). Banken en de faillissementswet. Economisch-Statistische Berichten, 85, 876-878.
  • Open Access
    Kolk, A. (2000). Verificatie van milieuverslagen. MAB, 9(74), 363-374.
  • Open Access
    Boot, A. W. A. (2000). Pensioenen en verzekeringen: van dogmatiek naar transparantie. Economisch-Statistische Berichten, 85, 388-391.
  • Open Access
    Strikwerda, J. (2000). Internal governance: Leiding en organisatie in de nieuwe economie. (Oratiereeks). Vossiuspers AUP.
  • Open Access
    Cramer, J. S. (2000). Asymptotic properties of predicted probabilities in discrete regression. (Tinbergen Institute Discussion Papers; No. TI 2000-06/4). Unknown Publisher.
  • Open Access
    Boot, A. W. A., & Ligterink, J. E. (2000). Faillissementswetgeving in internationaal perspectief. MAB, 74(11), 492-499.
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