All Stories

  1. Internal ratings and bank opacity: Evidence from analysts’ forecasts
  2. Does asset encumbrance affect bank risk? Evidence from covered bonds
  3. Greening the Financial Sector: Evidence from Bank Green Bonds
  4. Experience and Brokerage in Asset Markets: Evidence from Art Auctions
  5. Multiattribute Assessment of the Financial Performance of Non-life Insurance Companies: Empirical Evidence from Europe
  6. A Multivariate Model of Strategic Asset Allocation with Longevity Risk
  7. Unbundling the Expense Ratio: Hidden Distribution Costs in European Mutual Fund Markets
  8. Do investors care about credit ratings? An analysis through the cycle
  9. The impact of government ownership on bank risk
  10. Ownership structure, risk and performance in the European banking industry