Stock market volatility and changes in financial risk tolerance during the great recession

AG Rabbani, JE Grable, W Heo… - Journal of Financial …, 2017 - connect.springerpub.com
This study investigated the degree to which the financial risk tolerance of individuals was
influenced by volatility in the US equities market during the period of the Great Recession …

[图书][B] Essays in financial economics

M Schwert - 2016 - search.proquest.com
This thesis studies how credit market frictions affect debt pricing and the behavior of
borrowers and lenders. In the first chapter, I study the matching of corporate borrowers with …

Aracı Kurumların Risk Haritası (Risk Maps of Securities Firms)

Y Coskun - 2010 - mpra.ub.uni-muenchen.de
Ülkemizde sermaye piyasalarının geliĢtirilmesinin 1980 sonrasında yeniden gündeme
gelmesiyle birlikte sermaye piyasalarına özgü finansal aracı sıfatıyla aracı kurumların da …