Review of Finance, 1572-3097

Journal

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  1. 2018
  2. Finance, Comparative Advantage, and Resource Allocation

    Jaud, M., Kukenova, M. & Martin Strieborny, 2018 May 1, In : Review of Finance. 22, 3, p. 1011-1061

    Research output: Contribution to journalArticle

  3. Learning to Take Risks? The Effect of Education on Risk-Taking in Financial Markets

    Petter Lundborg, Kaveh Majlesi, E. Black, S. & Devereux, P. J., 2018 May 1, In : Review of Finance. 22, 3, p. 951-975 25 p.

    Research output: Contribution to journalArticle

  4. 2016
  5. Investment in Relationship-Specific Assets: Does Finance Matter?

    Martin Strieborny & Kukenova, M., 2016, In : Review of Finance. 20, 4, p. 1487-1515 29 p.

    Research output: Contribution to journalArticle

  6. 2015
  7. The Conditional Effects of Market Power on Bank Risk--Cross-Country Evidence

    Jens Forssbaeck & Shehzad, C. T., 2015, In : Review of Finance. 19, 5, p. 1997-2038

    Research output: Contribution to journalArticle

  8. 1999
  9. Comment on ‘Valuation of Barrier Options in a Black–Scholes Setup with Jump Risk’

    Bermin, H-P., 1999 Dec 1, In : Review of Finance. 3, 3, p. 343-345 3 p.

    Research output: Contribution to journalDebate/Note/Editorial