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The impact of public and private debt level on the size of fiscal multipliers Master Thesis
Adi, C.
July 2015 -
From Basel II to Basel III: effectively measuring market risk using expected shortfall in lieu of value at risk, with international diversification effects Master Thesis
Schier, A.T.
July 2015 -
Do banks that failed or passed the EBA 2010 and 2011 core-tier 1 requirements have different stock market returns on the day of disclosure? market reactions and bank stress tests in Europe Master Thesis
Ruigrok, K.J.M.
July 2015 -
Do ‘too big to fail’ expectations drive down the funding costs of banks perceived as ‘too big to fail’? Master Thesis
Hendriks, B.W.S.B.
July 2015 -
CEO narcissism and its effect on firm's investments Master Thesis
Muilkens, O.B.
July 2015 -
Do investors ask for a risk premium for bearing fraud risks? Master Thesis
Li, Y.
July 2015 -
The changing nature of overnight and intraday returns under different market trends Master Thesis
Vegh, A.
August 2015 -
M&A matches made in haven? the wealth effect of tax-aggressive cross-border M&As Master Thesis
Mienert, J.R.
August 2015