共 50 条
- [41] The risk-relevance of securitizations during the recent financial crisis Review of Accounting Studies, 2014, 19 : 839 - 876
- [43] THE VALUE-RELEVANCE OF CASH HOLDING DURING THE GLOBAL FINANCIAL CRISIS: ROMANIAN FINANCIAL MARKET CASE EUROPEAN FINANCE, BUSINESS AND REGULATION (EUFIRE 2020), 2020, : 471 - 490
- [45] SYSTEMIC RISK CAUSED BY ROMANIAN FINANCIAL INTERMEDIARIES DURING FINANCIAL CRISIS: A COVAR APPROACH MONETARY, BANKING AND FINANCIAL ISSUES IN CENTRAL AND EASTERN EU MEMBER COUNTRIES: HOW CAN CENTRAL AND EASTERN EU MEMBERS OVERCOME THE CURRENT ECONOMIC CRISIS?, VOL I, 2014, : 142 - 148
- [48] Risk-adjusted performance of Romanian Bond Funds during the global economic crisis EMERGING MARKETS QUERIES IN FINANCE AND BUSINESS 2014, EMQFB 2014, 2015, 32 : 1407 - 1413
- [50] Female CEOs’ risk management and earnings performance during the financial crisis Asian Business & Management, 2024, 23 : 110 - 138