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Results: 216
Number of items: 216
  • Open Access
    Perotti, E. C., & Suarez, J. (2000). Pre-emptive policy for systemic banking crisis. Unknown Publisher.
  • 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
    Perotti, E. C., & von Thadden, E.-L. (2000). Outside finance, dominant investors and strategic transparency. (Cahiers de Recherches Economiques du Dipartement d'Economitrie et d'Economie politique (DEEP); No. 69). Universiti de Lausanne, Ecole des HEC, Dipartement d'Economitrie et d'Economie politique (DEEP).
  • Cherian, J. A., & Perotti, E. C. (1999). Option pricing and foreign investment under political risk. (Discussion paper. Financial and international markets; No. TI 99-030/2). Tinbergen Institute.
  • Perotti, E. C., & von Thadden, E.-L. (1999). Dominant investors and strategic transparency. (Working Paper; No. 24/99). Fondazione Eni Enrico Mattei Note di Lavoro.
  • Huibers, F. E., & Perotti, E. C. (1999). Performance of privatization stocks in emerging markets : the role of political risk. In M. Hirschey, K. John, & A. K. Makhija (Eds.), Privatization : financial perspectives (pp. 1-27). (Advances in financial economics). JAI Press.
  • Perotti, E. C., Sun, L., & Zou, L. (1999). State-owned versus township and village enterprises in China. Comparative Economic Studies, 41(2-3), 151-180.
  • Perotti, E. C., & Gelfer, S. (1999). Red barons or robber barons? : governance and financing in Russian FIGS. (CEPR Discussion paper series; No. 2204). Centre for Economic Policy Research.
  • Cherian, J. A., & Perotti, E. C. (1999). Option pricing and foreign investment under political risk. (CEPR Discussion paper series; No. 2327). Centre for Economic Policy Research.
  • Perotti, E. C., & Huibers, F. (1999). The Performance of Privatization Stocks in Emerging Markets: The Role of Political Risks. In K. John, M. Hirschey, & A. K. Makhija (Eds.), Advances in Financial Economics, 4 (pp. 1-27)
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