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