I agree that this site is using cookies. You can find further informations
here
.
X
Login
Merkliste (
0
)
Home
About us
Home About us
Our history
Profile
Press & public relations
Friends
The library in figures
Exhibitions
Projects
Training, internships, careers
Films
Services & Information
Home Services & Information
Lending and interlibrary loans
Returns and renewals
Training and library tours
My Account
Library cards
New to the library?
Download Information
Opening hours
Learning spaces
PC, WLAN, copy, scan and print
Catalogs and collections
Home Catalogs and Collections
Rare books and manuscripts
Digital collections
Subject Areas
Our sites
Home Our sites
Central Library
Law Library (Juridicum)
BB Business and Economics (BB11)
BB Physics and Electrical Engineering
TB Engineering and Social Sciences
TB Economics and Nautical Sciences
TB Music
TB Art & Design
TB Bremerhaven
Contact the library
Home Contact the library
Staff Directory
Open access & publishing
Home Open access & publishing
Reference management: Citavi & RefWorks
Publishing documents
Open Access in Bremen
zur Desktop-Version
Toggle navigation
Merkliste
1 Ergebnisse
1
Managing Bank Liquidity Risk: How Deposit-Loan Synergies Va..:
Gatev, Evan
;
Schuermann, Til
;
Strahan, Philip E.
The Review of Financial Studies. 22 (2009) 3 - p. 995-1020 , 2009
Link:
https://www.jstor.org/stable/30225683
RT Journal T1
Managing Bank Liquidity Risk: How Deposit-Loan Synergies Vary with Market Conditions
UL https://suche.suub.uni-bremen.de/peid=jstor-30225683&Exemplar=1&LAN=DE A1 Gatev, Evan A1 Schuermann, Til A1 Strahan, Philip E. PB Oxford University Press YR 2009 SN 0893-9454 SN 1465-7368 K1 G18 K1 G21 K1 Economics K1 Economic disciplines K1 Financial economics K1 Banking K1 Bank management K1 Bank liquidity K1 Business K1 Business operations K1 Commerce K1 Financial transactions K1 Bank assets K1 Finance K1 Financial instruments K1 Loans K1 Bank loans K1 Financial markets K1 Bank markets K1 Banks K1 Central banking K1 Federal Reserve System K1 Federal Reserve Bank K1 Financial management K1 Financial risk K1 Nonsystemic risk K1 Liquidity risk K1 Economic conditions K1 Economic crises K1 Banking crises K1 Credit risk JF The Review of Financial Studies VO 22 IS 3 SP 995 OP 1020 LK http://dx.doi.org/https://www.jstor.org/stable/30225683 DO https://www.jstor.org/stable/30225683 SF ELIB - SuUB Bremen
Export
RefWorks (nur Desktop-Version!)
Flow
(Zuerst in
Flow
einloggen, dann importieren)