European Financial Management, 1354-7798

Journal

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  1. 2019
  2. The effect of stricter capital regulation on banks’ risk-taking: Theory and evidence

    Frederik Lundtofte & Caren Yinxia Nielsen, 2019 Nov, In : European Financial Management. 25, 5, p. 1229-1248 20 p.

    Research output: Contribution to journalArticle

  3. 2015
  4. Does Centralisation of FX Derivative Usage Impact Firm Value?

    Håkan Jankensgård, 2015, In : European Financial Management. 21, 2, p. 309-332

    Research output: Contribution to journalArticle

  5. 2003
  6. Dynamic Portfolio Selection: The Relevance of Switching Regimes and Investment Horizon

    Andreas Graflund & Birger Nilsson, 2003, In : European Financial Management. 9, 2, p. 179-200

    Research output: Contribution to journalArticle

  7. 2000
  8. Cross Sectional Analysis of Stock Returns with Time-varying Beta

    Hossein Asgharian & Björn Hansson, 2000, In : European Financial Management. 6, 2, p. 213-33

    Research output: Contribution to journalArticle

  9. 1995
  10. Measuring macroeconomic exposure: The case of Volvo Cars

    Lars Oxelheim & Clas Wihlborg, 1995, In : European Financial Management. 1, 3, p. 241-263

    Research output: Contribution to journalArticle