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1. Paper Dragons : China and the Next Crash

2. When Safe Proved Risky: Commercial Paper during the Financial Crisis of 2007–2009.

4. 2023'TE SEKTÖRÜ NELER BEKLİYOR.

5. Bigger than Penn Central: The Financial Crisis of 1970 and the Origins of the Federal Reserve's Systemic Guarantee.

7. The Commercial Paper Market, the Fed, and the 2007-2009 Financial Crisis.

8. Keynote Paper Antecedents of the Global Financial Crisis: A Multi-Factorial Phenomenon.

9. Paper Tiger: The Validity of CFTC Position-Limit Rulemaking Under Dodd-Frank.

10. Countries Risk Overestimating Debt Capacity, Jackson Hole Paper Shows.

11. New challenges in international economics and finance.

12. The Evolution of a Financial Crisis: Panic in the Asset-Backed Commercial Paper Market.

13. What Have We Learned from the 2007-08 Financial Crisis? Papers Presented at the Second International Workshop on Financial Markets and Nonlinear Dynamics (Paris, June 4-5, 2015).

14. BIBLIOMETRIC ANALYSIS OF FINANCIAL CRISIS RESEARCH.

15. Fiscal policy as credit policy: Homeownership subsidization and the household debt boom.

16. Patterns of trade restrictiveness in online platforms: A first look.

18. Racial platform capitalism: Empire, migration and the making of Uber in London.

19. AN EARLY WARNING SYSTEM FOR FINANCIAL CRISES: A TEMPORAL CONVOLUTIONAL NETWORK APPROACH.

20. What Is Behind the Turbulent Global Recovered Paper Market?

21. The repeal of the Glass-Steagall Act and the Federal Reserve's extraordinary intervention during the global financial crisis.

22. New Perspectives on Insurance.

23. From the Bretton Woods system to the global non-system: the trials and tribulations of slow learning.

24. ENVIRONMENTAL ISSUES AND FINANCIAL CRISES DISMISS LAISSEZ-FAIRE CAPITALISM.

25. Evaluating the impact of COVID-19 on capesize and panamax sectors: the method of empirical mode decomposition.

26. The Impact of Unconventional Monetary Policy on China's Economic and Financial Cycle: Application of a Structural Vector Autoregression Model Based on High-Frequency Data.

27. Measuring economic crises impact transitioning to a circular economy.

28. Effect of changing business R&D expenditure mix on productivity of the South African national system of innovation.

29. The (un)usual suspects? Exploring the links between illicit financial flows, Russian money laundering and dependent financialization in the Baltic states.

30. Analysis of output and output volatility connectedness of Nigeria, USA, China and India: new empirical insights from the global financial crisis versus 2016 Nigerian recession.

31. Compliance cultures and the role of financial incentives.

32. Communicating financial stability in monetary policy reports: a text-mining experiment in postcommunist countries.

33. Smart economic development patterns in Europe: interaction with competitiveness.

34. Product Innovation and Credit Market Disruptions.

35. Schumpeter's insights for monetary macroeconomics and the theory of financial crises.

36. Debt-GDP cycles in historical perspective: the case of the USA (1889–2014).

37. The Importance of Portfolio Composition and Home Ownership in Wealth Distribution in Europe.

38. Integrating the two-stage of non-radial DEA model and BCG methods to evaluate the performance with strategic trajectory: a case study of securities industry.

39. Financial Fragility and Public Social Spending: Unraveling the Endogenous Nexus.

40. Volatility Spillovers and Contagion During Major Crises: An Early Warning Approach Based on a Deep Learning Model.

41. 'Beyond GDP' in cities: Assessing alternative approaches to urban economic development.

42. Ill Fares the Land: Confronting Unsustainability in the U.K. Food System through Political Agroecology and Degrowth.

43. The effect of regional factors on energy poverty.

44. Exploring supply chain finance along different supply chain stages: a case-based research in the agri-food industry.

45. Pluralistic and equitable education in the neoliberal era: paradoxes and contradictions.

46. Reinforcing policy and legal framework for Islamic insurance in Islamic finance: towards achieving Saudi Arabia Vision 2030.

47. International Law and Sustainable Development: Grounds for Cancellation of Africa Debts.

48. An Assessment of the Benefits of Optimizing Working Capital and Profitability: Perspectives from DJIA30 and NASDAQ100.

49. Investment Funds, Monetary Policy, and the Global Financial Cycle.

50. Financial Shocks in an Uncertain Economy.