Comparing tail risk and systemic risk profiles for different types of U.S. financial institutions

Source
Extreme events in finance: a handbook of extreme value theory and its applications / Longin, F. [edit.]-p. 357-390
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Tail risk and systemic risk of US and Eurozone financial institutions in the wake of the global financial crisis

Source
Journal of international money and finance - ISSN 0261-5606-58 (2015) p. 191-223
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Predicting exchange rate cycles utilizing risk factors

Source
Journal of empirical finance - ISSN 0927-5398-34 (2015) p. 112-130
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Inflation protection from home ownership : long run evidence, 1814-2008

Source
Real estate economics - ISSN 1080-8620-42:3 (2014) p. 662-689
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Does the euro dominate Central and Eastern European money markets?

Source
Journal of international money and finance - ISSN 0261-5606-32 (2013) p. 700-718
Author(s)