SiteStat.jsp
Volume 33, Issue 11 (2009), pages 1949-2174
Financial Globalisation, Risk Analysis and Risk Management
edited by Stijn Claessens, Asli Demirguc-Kunt, Fariborz Moshirian
Volume 33, Issue 10 (2009), pages 1739-1948
Micro and Macro Foundations of International Financial Integration
edited by Brian M. Lucey
Volume 33, Issue 1 (2009), 182 Pages
The Financial Market in China: Issues Related to the Asia Pacific Region
edited by F. Moshirian
Volume 32, Issue 12 (2008), 58 Pages
Special Section: Commodities
edited by H. Geman
Volume 32, Issue 11 (2008), 102 Pages
Special Section: Financial Services and Capital Markets
edited by F. Moshrian
Volume 32, Issue 10 (2008), 100 Pages
Special Section: Risk Management in Commodity and Financial Markets
edited by R.L. D'Ecclesia
Volume 32, Issue 8 (2008), 120 Pages2008
Changes in the World's Financial Markets in the Last 30 Years and Their Implications for the Future
edited by F. Moshirian
Volume 32, Issue 7 (2008), 28 Pages
Special Section: Advances in Asset Pricing & Portfolio Management
edited by F. Paris
Volume 32, Issue 4 (2008), 70 Pages
Special Section: Financial Globalization and Growth
edited by F. Moshirian
Volume 32, Issue 1 (2008), 134 Pages
Dynamics of Insurance Markets: Structure, Conduct, and Performance in the 21st Century
edited by J.D. Cummins, G. Dionne
Volume 31, Issue 11 (2007), 294 Pages
Risk Management and Quantitative Approaches in Finance
edited by F. AitSahlia, S. Uryasev
Volume 31, Issue 10 (2007), 134 Pages
Special Section: The Future of Clearing and Settlement
edited by A. Milne
Volume 31, Issue 8 (2007), 115 Pages
Special Section: Optimization Techniques in Finance
edited by Y. Kaniovski, M. Murgia, G. Pflug
Volume 31, Issue 7 (2007), 324 Pages
Developments in European Banking
edited by P. Molyneux, J.O.S. Wilson
Volume 31, Issue 6 (2007), 178 Pages
Special Section: Globalization and Financial Services in Emerging Economics
edited by F. Moshirian
Volume 31, Issue 5 (2007), 130 Pages
Special Section: Inter-temporal Optimization in a Stochastic Environment
edited by J.L. Stein, Z. Zheng
Volume 31, Issue 4 (2007), 288 Pages
Bricks versus Clicks: The Changing Nature of Banking in the 21st Century
edited by L. Allen, A. Rai
Volume 31, Issue 1 (2007), 102 Pages
Global Financial Services
edited by F. Moshirian
Volume 30, Issue 12 (2006), 268 pages
Special Section: Crises, Financial Stability and Macroeconomic Policy
edited by P. Wachtel, B. Vujcic
Volume 30, Issue 11 (2006), 326 Pages
Special Section: SMEs - Access to Finance
edited by T. Beck, A. Demirguc-Kunt
Volume 30, Issue 10 (2006), 60 Pages
Special section on Operational Risk
edited by J.D. Cummins, P. Embrechts
Volume 30, Issue 7 (2006), 296 pages
Special Section: Banking and Finance in an Integrating Europe
edited by J.W.B. Bos, et al.
Volume 30, Issue 6 (2006), 230 pages
Frontiers in Payment and Settlement Systems
edited by A. Saunders, B. Scholnick
Volume 30, Issue 2 (2006), 428 pages
Management and Optimization in Finance
edited by P. Krokhmal, et.al
Vol. 29, no. 11 (2005), 220 pages
Thirty Years of Continuous-Time Finance
edited by G. Barone-Adesi
Vol. 29, no. 8-9 (2005), 234 pages
Bank Privatization
edited by G.R.G. Clarke, R. Cull, W. Megginson
Vol. 29, no. 4 (2005), 234 pages
Risk Measurement
edited by G. Barone-Adesi
Vol. 29, no. 1 (2005), 270 pages
Banking and the Financial Sector in Transition and Emerging Market Economies
edited by P. Wachtel, B. Vujcic, J.C. Brada
Vol. 28, no. 11 (2004), 302 pages
Recent Research on Credit Ratings
edited by R. Cantor
Vol. 28, no. 4 (2004), 178 pages
Retail Credit Risk Management and Measurement
edited by M. Berlin, L.J. Mester
Vol. 27, no. 3 (2003), 168 pages
Markets and Institutions: Global Perspectives
edited by F. Moshirian, G. Szegö
Vol. 26, no. 11 (2002), 162 pages
Monetary Transmission and Bank Competition in the EMU
edited by R. Lensink, E. Sterken
Vol. 26, no. 9 (2002), 236 pages
Managing Ethical Risk: How Investing in Ethics Adds Value
edited by R. Chami, T. Cosimano, C. Fullenkamp
Vol. 26, no. 7 (2002), 314 pages
Statistical and Computational Problems in Risk Management: VaR and Beyond VaR
edited by G.P. Szego
Vol. 26, no. 5 (2002), 272 pages
Banks and Systemic Risk
edited by P. Jackson, W. Perraudin
Vol. 26, nos. 2-3 (2002), 414 pages
Risk Management in the Global Economy: Measurement, Management and Macroeconomic Implications
edited by W.C. Hunter, S.D. Smith
Vol. 25, no. 12 (2001), 266 pages
The Financial System in the Third Millenium: Perspectives and Problems
edited by F. Moshirian, G. Szegö
Vol. 25, no. 1 (2001), 290 pages
Credit Ratings and the Proposed New BIS Guidelines on Capital Adequacy for Bank Credit Assets
edited by A.I. Altman
Vol. 24, no. 4 (2000), 162 pages
Financial Systems Development in Transition Economies
edited by N. Hermes, R. Lensink
Vol. 24, no. 1/2 (2000), 358 pages
Credit Risk Modelling and Regulatory Issues
edited by P. Jackson, W. Perraudin
Vol. 23, no. 10 (1999), 1558 pages
Lessons from the tequila crisis for successful financial liberalization
edited by C.W. Calomiris
Vol. 23, no. 2/4 (1999), 574 pages
The Consolidation of the Financial Services Industry
edited by A.N. Berger, R.S. Demsetz, P.E. Strahan
Vol. 22, no. 10-11 (1998), 254 pages
Credit Risk Assessment and Relationship Lending
edited by E.I. Altman, J. Krahnen, A. Saunders
Vol. 22, no. 6/8 (1998), 508 pages
The Economics of Small Business Finance
edited by A.N. Berger, G.F. Udell
Vol. 21, no. 11/12 (1997), 310 pages
Anniversary Issue
edited by M. Sarnat
Vol. 21, no. 9 (1997), 128 pages
Retrospective Evaluation 1976-1996
Vol. 19, no. 3/4 (1995), 354 pages
The Role of Capital in Financial Institutions
edited by A.N. Berger, R.J. Herring, G.P. Szegö
Vol. 18, no. 5 (1994), 222 pages
European Derivative Markets
edited by R.C. Stapleton
Vol. 18, no. 4 (1994), 206 pages
Non–US Financial Markets
edited by G. Hawawini
Vol. 18, no. 2 (1994), 194 pages
Universal Banking and the Separation of Banking and Commerce
edited by A. Saunders
Vol. 17, no. 5 (1993), 312 pages
Banks and Capital Markets in Former Centrally Planned Countries: Their Role in Establishing a Market Economy
edited by G. Szegö
Vol. 17, no. 2/3 (1993), 360 pages
The Efficiency of Financial Institutions
edited by A.N. Berger, W.C. Hunter, S.G. Timme
Vol. 16, no. 1 (1992), vi + 272 pages
European Capital Markets
edited by R. Stapleton
Vol. 15, no. 4/5 (1991), iv + 304 pages
Deposit Insurance Reform
edited by M. Berlin, A. Saunders, G.F. Udell
Vol. 14, no. 5 (1990), ii + 266 pages
Special Issue on Real and Nominal Exchange Rates
edited by J.L. Stein
Vol. 14, no. 2/3 (1990), ii + 442 pages
Equity Markets - An International Comparison
edited by G. Tullio, G.P. Szegö
Vol. 13, no. 4/5 (1989), ii + 304 pages
Equity Markets - An International Comparison
edited by G. Tullio, G.P. Szegö