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Items where Division is "Finance" and Year is 2000

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Number of items: 17.

Goodhart, Charles A. E., ed. (2000) Which Lender of Last Resort for Europe? Central Banking Publications, London, UK. ISBN 1902182111

Anderson, Ronald W. and Sundaresan, Suresh (2000) A comparative study of structural models of corporate bond yields: an exploratory investigation. Journal of Banking and Finance, 24 (1-2). pp. 255-269. ISSN 0378-4266

Bertero, Elisabetta and Rondi, Laura (2000) Financial pressure and the behaviour of public enterprises under soft and hard budget constraints: evidence from Italian panel data. Journal of Public Economics, 75 (1). pp. 73-98. ISSN 0047-2727

Bertero, Elisabetta and Rondi, Laura (2000) Investment, cash flow and managerial discretion in state-owned firms: evidence across soft and hard budget constraints. Working paper (10/2000). Ceris-Cnr.

Board, John, Sutcliffe, C. and Patrinos, E. (2000) Performance of covered calls. European Journal of Finance, 6 (1). pp. 1-17. ISSN 1351-847X

Burkart, Mike ORCID: 0000-0002-0954-4499, Gromb, Denis and Panunzi, Fausto (2000) Agency conflicts in public and negotiated transfers of corporate control. Journal of Finance, 55 (2). pp. 647-677. ISSN 0022-1082

Burkart, Mike ORCID: 0000-0002-0954-4499 and Wallner, Klaus (2000) Club enlargement: early versus late admittance. Financial Markets Group Discussion Papers (359). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Chernov, Mikhail and Ghysels, Eric (2000) A study towards a unified approach to the joint estimation of objective and risk neutral measures for the purpose of options valuation. Journal of Financial Economics, 56 (3). pp. 407-458. ISSN 0304-405X

Crafts, Nicholas (2000) Globalization and growth in the twentieth century. In: Prasad, E., (ed.) World Economic Outlook: Supporting Studies. International Monetary Fund, pp. 1-44. ISBN 9781557758934

Cumperayot, Phornchanok J., Danielsson, Jon, Jorgensen, Bjorn N. and Vries, Casper G. (2000) On the (Ir)relevancy of value-at-risk regulation. In: Franke, Jürgen, Stahl, Gerhard and Härdle, Wolfgang, (eds.) Measuring Risk in Complex Stochastic Systems. Lecture Notes in Statistics,147. Springer Science+Business Media B.V., New York, 99 - 117. ISBN 9780387989969

Cuñat, Vicente ORCID: 0000-0001-7504-2801 (2000) Trade credit: suppliers as debt collectors and insurance providers. Financial Markets Group Discussion Papers (365). Financial Markets Group, The London School of Economics and Political Science, London, UK.

Danielsson, Jon and Vries, C. G. de (2000) Value-at-risk and extreme returns. Annales d'economie et de Statistique, 60 (Specia). pp. 236-269. ISSN 0769-489X

Webb, David C. (2000) The impact of liquidity constraints on bank lending policy. The Economic Journal, 110 (460). pp. 69-91. ISSN 0013-0133

Zhuang, Juzhong, Edwards, David, Webb, David C. and Capulong, Ma. Virginita (2000) Corporate governance and finance in East Asia: a study of Indonesia, Republic of Korea, Malaysia, Philippines, and Thailand. Corporate governance and finance in East Asia. , 1 Asian Development Bank, Manila, Philippines. ISBN 9715612954

Zigrand, Jean-Pierre ORCID: 0000-0002-7784-4231 (2000) Physics of finance. In: Greco, Mario, (ed.) Les Rencontres De Physique De la Vallèe D'aoste - Results and Perspectives in Particle Physics. Friscati physics series (17). INFN Laboratori Nazionali di Frascati, Rome, Italy. ISBN 9788886409230

d'Aspremont, Claude, Bhattacharya, Sudipto and Gerard-Varet, Loius-André (2000) Bargaining and sharing iInnovative knowledge. Review of Economic Studies, 67 (2). pp. 255-271. ISSN 0034-6527

de Meza, David and Webb, David C. (2000) Does credit rationing imply insufficient lending? Journal of Public Economics, 78 (3). pp. 215-234. ISSN 0047-2727

This list was generated on Sat Apr 20 11:03:02 2024 BST.