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You searched for subject:(Financial crises). Showing records 1 – 30 of 286 total matches.

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University of Utah

1. Abouzelof, Michael. Theories of value and economic crises: revisiting Maurice Dobb.

Degree: MS;, Economics;, 2010, University of Utah

 This paper reviews two areas of Maurice Dobb's contributions to the history of economic thought, specifically his essay The Requirements of a Theory of Value… (more)

Subjects/Keywords: Financial crises

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APA (6th Edition):

Abouzelof, M. (2010). Theories of value and economic crises: revisiting Maurice Dobb. (Masters Thesis). University of Utah. Retrieved from http://content.lib.utah.edu/cdm/singleitem/collection/etd2/id/1182/rec/1239

Chicago Manual of Style (16th Edition):

Abouzelof, Michael. “Theories of value and economic crises: revisiting Maurice Dobb.” 2010. Masters Thesis, University of Utah. Accessed October 18, 2019. http://content.lib.utah.edu/cdm/singleitem/collection/etd2/id/1182/rec/1239.

MLA Handbook (7th Edition):

Abouzelof, Michael. “Theories of value and economic crises: revisiting Maurice Dobb.” 2010. Web. 18 Oct 2019.

Vancouver:

Abouzelof M. Theories of value and economic crises: revisiting Maurice Dobb. [Internet] [Masters thesis]. University of Utah; 2010. [cited 2019 Oct 18]. Available from: http://content.lib.utah.edu/cdm/singleitem/collection/etd2/id/1182/rec/1239.

Council of Science Editors:

Abouzelof M. Theories of value and economic crises: revisiting Maurice Dobb. [Masters Thesis]. University of Utah; 2010. Available from: http://content.lib.utah.edu/cdm/singleitem/collection/etd2/id/1182/rec/1239


Boston College

2. Blengini, Isabella. Essays in International Economics.

Degree: PhD, Economics, 2011, Boston College

 This thesis includes two essays that analyze some features of the past financial crises. In the first chapter I study the possible reasons why investors… (more)

Subjects/Keywords: Financial crises

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APA (6th Edition):

Blengini, I. (2011). Essays in International Economics. (Doctoral Dissertation). Boston College. Retrieved from http://dlib.bc.edu/islandora/object/bc-ir:101174

Chicago Manual of Style (16th Edition):

Blengini, Isabella. “Essays in International Economics.” 2011. Doctoral Dissertation, Boston College. Accessed October 18, 2019. http://dlib.bc.edu/islandora/object/bc-ir:101174.

MLA Handbook (7th Edition):

Blengini, Isabella. “Essays in International Economics.” 2011. Web. 18 Oct 2019.

Vancouver:

Blengini I. Essays in International Economics. [Internet] [Doctoral dissertation]. Boston College; 2011. [cited 2019 Oct 18]. Available from: http://dlib.bc.edu/islandora/object/bc-ir:101174.

Council of Science Editors:

Blengini I. Essays in International Economics. [Doctoral Dissertation]. Boston College; 2011. Available from: http://dlib.bc.edu/islandora/object/bc-ir:101174


Hong Kong University of Science and Technology

3. Xu, Lifang. Essays on credit constraints, bubbles and unemployment.

Degree: 2013, Hong Kong University of Science and Technology

 Chapter 1 introduces endogenous credit constraints in a search model of unemployment.These constraints generate multiple equilibria supported by self-fulfilling beliefs. A stock market bubble exists… (more)

Subjects/Keywords: Capital market; Financial crises; Unemployment

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APA (6th Edition):

Xu, L. (2013). Essays on credit constraints, bubbles and unemployment. (Thesis). Hong Kong University of Science and Technology. Retrieved from https://doi.org/10.14711/thesis-b1239446 ; http://repository.ust.hk/ir/bitstream/1783.1-7977/1/th_redirect.html

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16th Edition):

Xu, Lifang. “Essays on credit constraints, bubbles and unemployment.” 2013. Thesis, Hong Kong University of Science and Technology. Accessed October 18, 2019. https://doi.org/10.14711/thesis-b1239446 ; http://repository.ust.hk/ir/bitstream/1783.1-7977/1/th_redirect.html.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7th Edition):

Xu, Lifang. “Essays on credit constraints, bubbles and unemployment.” 2013. Web. 18 Oct 2019.

Vancouver:

Xu L. Essays on credit constraints, bubbles and unemployment. [Internet] [Thesis]. Hong Kong University of Science and Technology; 2013. [cited 2019 Oct 18]. Available from: https://doi.org/10.14711/thesis-b1239446 ; http://repository.ust.hk/ir/bitstream/1783.1-7977/1/th_redirect.html.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

Xu L. Essays on credit constraints, bubbles and unemployment. [Thesis]. Hong Kong University of Science and Technology; 2013. Available from: https://doi.org/10.14711/thesis-b1239446 ; http://repository.ust.hk/ir/bitstream/1783.1-7977/1/th_redirect.html

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation


University of Hong Kong

4. Liang, Wei Jen, William. The 1910 financial crisis in Shanghai = 1910上海金融風暴.

Degree: MA, 2013, University of Hong Kong

Although there is no strict definition, the team “financial crisis” usually refers to an event in which the value of financial assets drops rapidly. The… (more)

Subjects/Keywords: Financial crises - China - Shanghai

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APA (6th Edition):

Liang, Wei Jen, W. (2013). The 1910 financial crisis in Shanghai = 1910上海金融風暴. (Masters Thesis). University of Hong Kong. Retrieved from Liang, W. J. W. [梁維仁]. (2013). The 1910 financial crisis in Shanghai = 1910 Shanghai jin rong feng bao. (Thesis). University of Hong Kong, Pokfulam, Hong Kong SAR. Retrieved from http://dx.doi.org/10.5353/th_b5091201 ; http://dx.doi.org/10.5353/th_b5091201 ; http://hdl.handle.net/10722/192999

Chicago Manual of Style (16th Edition):

Liang, Wei Jen, William. “The 1910 financial crisis in Shanghai = 1910上海金融風暴.” 2013. Masters Thesis, University of Hong Kong. Accessed October 18, 2019. Liang, W. J. W. [梁維仁]. (2013). The 1910 financial crisis in Shanghai = 1910 Shanghai jin rong feng bao. (Thesis). University of Hong Kong, Pokfulam, Hong Kong SAR. Retrieved from http://dx.doi.org/10.5353/th_b5091201 ; http://dx.doi.org/10.5353/th_b5091201 ; http://hdl.handle.net/10722/192999.

MLA Handbook (7th Edition):

Liang, Wei Jen, William. “The 1910 financial crisis in Shanghai = 1910上海金融風暴.” 2013. Web. 18 Oct 2019.

Vancouver:

Liang, Wei Jen W. The 1910 financial crisis in Shanghai = 1910上海金融風暴. [Internet] [Masters thesis]. University of Hong Kong; 2013. [cited 2019 Oct 18]. Available from: Liang, W. J. W. [梁維仁]. (2013). The 1910 financial crisis in Shanghai = 1910 Shanghai jin rong feng bao. (Thesis). University of Hong Kong, Pokfulam, Hong Kong SAR. Retrieved from http://dx.doi.org/10.5353/th_b5091201 ; http://dx.doi.org/10.5353/th_b5091201 ; http://hdl.handle.net/10722/192999.

Council of Science Editors:

Liang, Wei Jen W. The 1910 financial crisis in Shanghai = 1910上海金融風暴. [Masters Thesis]. University of Hong Kong; 2013. Available from: Liang, W. J. W. [梁維仁]. (2013). The 1910 financial crisis in Shanghai = 1910 Shanghai jin rong feng bao. (Thesis). University of Hong Kong, Pokfulam, Hong Kong SAR. Retrieved from http://dx.doi.org/10.5353/th_b5091201 ; http://dx.doi.org/10.5353/th_b5091201 ; http://hdl.handle.net/10722/192999


Australian National University

5. Hsiao, Yu-Ling Cody. New approaches of testing for financial market crisis and contagion .

Degree: 2014, Australian National University

 This thesis consists of four chapters that focus on the development of new statistical frameworks or tests of financial market crisis and contagion. A new… (more)

Subjects/Keywords: Financial crises – Econometric models

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APA (6th Edition):

Hsiao, Y. C. (2014). New approaches of testing for financial market crisis and contagion . (Thesis). Australian National University. Retrieved from http://hdl.handle.net/1885/157185

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16th Edition):

Hsiao, Yu-Ling Cody. “New approaches of testing for financial market crisis and contagion .” 2014. Thesis, Australian National University. Accessed October 18, 2019. http://hdl.handle.net/1885/157185.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7th Edition):

Hsiao, Yu-Ling Cody. “New approaches of testing for financial market crisis and contagion .” 2014. Web. 18 Oct 2019.

Vancouver:

Hsiao YC. New approaches of testing for financial market crisis and contagion . [Internet] [Thesis]. Australian National University; 2014. [cited 2019 Oct 18]. Available from: http://hdl.handle.net/1885/157185.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

Hsiao YC. New approaches of testing for financial market crisis and contagion . [Thesis]. Australian National University; 2014. Available from: http://hdl.handle.net/1885/157185

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation


Rutgers University

6. Cun, Wukuang. Essays on information, liquidity and financial frictions.

Degree: PhD, Economics, 2015, Rutgers University

 This dissertation seeks to understand how financial frictions arise and how they can affect the economy, and explores the implications of financial frictions for monetary… (more)

Subjects/Keywords: Financial crises; Liquidity (Economics)

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APA (6th Edition):

Cun, W. (2015). Essays on information, liquidity and financial frictions. (Doctoral Dissertation). Rutgers University. Retrieved from https://rucore.libraries.rutgers.edu/rutgers-lib/48441/

Chicago Manual of Style (16th Edition):

Cun, Wukuang. “Essays on information, liquidity and financial frictions.” 2015. Doctoral Dissertation, Rutgers University. Accessed October 18, 2019. https://rucore.libraries.rutgers.edu/rutgers-lib/48441/.

MLA Handbook (7th Edition):

Cun, Wukuang. “Essays on information, liquidity and financial frictions.” 2015. Web. 18 Oct 2019.

Vancouver:

Cun W. Essays on information, liquidity and financial frictions. [Internet] [Doctoral dissertation]. Rutgers University; 2015. [cited 2019 Oct 18]. Available from: https://rucore.libraries.rutgers.edu/rutgers-lib/48441/.

Council of Science Editors:

Cun W. Essays on information, liquidity and financial frictions. [Doctoral Dissertation]. Rutgers University; 2015. Available from: https://rucore.libraries.rutgers.edu/rutgers-lib/48441/


Rutgers University

7. Marziliano, Amanda, 1988-. Tolerating Europe: integration without identification.

Degree: PhD, Political Science, 2016, Rutgers University

Popular opinion holds that the European Union has reached the limits of its integration capacity. Despite major advances made in integration, little progress seems to… (more)

Subjects/Keywords: European Union; Financial crises – Europe

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APA (6th Edition):

Marziliano, Amanda, 1. (2016). Tolerating Europe: integration without identification. (Doctoral Dissertation). Rutgers University. Retrieved from https://rucore.libraries.rutgers.edu/rutgers-lib/49264/

Chicago Manual of Style (16th Edition):

Marziliano, Amanda, 1988-. “Tolerating Europe: integration without identification.” 2016. Doctoral Dissertation, Rutgers University. Accessed October 18, 2019. https://rucore.libraries.rutgers.edu/rutgers-lib/49264/.

MLA Handbook (7th Edition):

Marziliano, Amanda, 1988-. “Tolerating Europe: integration without identification.” 2016. Web. 18 Oct 2019.

Vancouver:

Marziliano, Amanda 1. Tolerating Europe: integration without identification. [Internet] [Doctoral dissertation]. Rutgers University; 2016. [cited 2019 Oct 18]. Available from: https://rucore.libraries.rutgers.edu/rutgers-lib/49264/.

Council of Science Editors:

Marziliano, Amanda 1. Tolerating Europe: integration without identification. [Doctoral Dissertation]. Rutgers University; 2016. Available from: https://rucore.libraries.rutgers.edu/rutgers-lib/49264/


Hong Kong University of Science and Technology

8. Lin, Jialiang ECON. Essays in financial networks and contagion.

Degree: 2018, Hong Kong University of Science and Technology

 Chapter 1 studies the interplay of network structure and imperfect information in financial contagion. Financial crisis may be started by fundamental liquidity shocks but contagion… (more)

Subjects/Keywords: Financial risk; Financial crises; Interbank market

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APA (6th Edition):

Lin, J. E. (2018). Essays in financial networks and contagion. (Thesis). Hong Kong University of Science and Technology. Retrieved from https://doi.org/10.14711/thesis-991012657369603412 ; http://repository.ust.hk/ir/bitstream/1783.1-96286/1/th_redirect.html

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16th Edition):

Lin, Jialiang ECON. “Essays in financial networks and contagion.” 2018. Thesis, Hong Kong University of Science and Technology. Accessed October 18, 2019. https://doi.org/10.14711/thesis-991012657369603412 ; http://repository.ust.hk/ir/bitstream/1783.1-96286/1/th_redirect.html.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7th Edition):

Lin, Jialiang ECON. “Essays in financial networks and contagion.” 2018. Web. 18 Oct 2019.

Vancouver:

Lin JE. Essays in financial networks and contagion. [Internet] [Thesis]. Hong Kong University of Science and Technology; 2018. [cited 2019 Oct 18]. Available from: https://doi.org/10.14711/thesis-991012657369603412 ; http://repository.ust.hk/ir/bitstream/1783.1-96286/1/th_redirect.html.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

Lin JE. Essays in financial networks and contagion. [Thesis]. Hong Kong University of Science and Technology; 2018. Available from: https://doi.org/10.14711/thesis-991012657369603412 ; http://repository.ust.hk/ir/bitstream/1783.1-96286/1/th_redirect.html

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation


University of Johannesburg

9. More, Tebogo Paulina. Debt and deleveraging during a financial crisis : a South African perspective.

Degree: 2013, University of Johannesburg

M.Comm. (Financial Management)

The purpose of this study is to show the influence of corporate debt on financial distress particularly during and after an economic/financial(more)

Subjects/Keywords: Corporate debt; Financial leverage; Financial crises

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APA (6th Edition):

More, T. P. (2013). Debt and deleveraging during a financial crisis : a South African perspective. (Thesis). University of Johannesburg. Retrieved from http://hdl.handle.net/10210/8565

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16th Edition):

More, Tebogo Paulina. “Debt and deleveraging during a financial crisis : a South African perspective.” 2013. Thesis, University of Johannesburg. Accessed October 18, 2019. http://hdl.handle.net/10210/8565.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7th Edition):

More, Tebogo Paulina. “Debt and deleveraging during a financial crisis : a South African perspective.” 2013. Web. 18 Oct 2019.

Vancouver:

More TP. Debt and deleveraging during a financial crisis : a South African perspective. [Internet] [Thesis]. University of Johannesburg; 2013. [cited 2019 Oct 18]. Available from: http://hdl.handle.net/10210/8565.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

More TP. Debt and deleveraging during a financial crisis : a South African perspective. [Thesis]. University of Johannesburg; 2013. Available from: http://hdl.handle.net/10210/8565

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation


University of New South Wales

10. Chua Bun Pho, Debbie. Asian financial firms and financial crises: A lesson learned?.

Degree: Accounting, 2017, University of New South Wales

 My thesis examines earnings quality (EQ) of Asian financial firms during the Asian financial crisis (AFC) 1997-1999 and the global financial crisis (GFC), 2008-2010. For… (more)

Subjects/Keywords: Financial crises; Earnings quality; Asian financial firms

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APA (6th Edition):

Chua Bun Pho, D. (2017). Asian financial firms and financial crises: A lesson learned?. (Doctoral Dissertation). University of New South Wales. Retrieved from http://handle.unsw.edu.au/1959.4/59075

Chicago Manual of Style (16th Edition):

Chua Bun Pho, Debbie. “Asian financial firms and financial crises: A lesson learned?.” 2017. Doctoral Dissertation, University of New South Wales. Accessed October 18, 2019. http://handle.unsw.edu.au/1959.4/59075.

MLA Handbook (7th Edition):

Chua Bun Pho, Debbie. “Asian financial firms and financial crises: A lesson learned?.” 2017. Web. 18 Oct 2019.

Vancouver:

Chua Bun Pho D. Asian financial firms and financial crises: A lesson learned?. [Internet] [Doctoral dissertation]. University of New South Wales; 2017. [cited 2019 Oct 18]. Available from: http://handle.unsw.edu.au/1959.4/59075.

Council of Science Editors:

Chua Bun Pho D. Asian financial firms and financial crises: A lesson learned?. [Doctoral Dissertation]. University of New South Wales; 2017. Available from: http://handle.unsw.edu.au/1959.4/59075


Princeton University

11. Choi, Dong Beom. Essays in Financial Economics .

Degree: PhD, 2012, Princeton University

 This dissertation contains three essays that study liquidity crises and financial system stability. The first chapter studies a model of systemic panic among heterogeneously leveraged… (more)

Subjects/Keywords: Banking; Financial crises; Financial economics; Liquidity

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APA (6th Edition):

Choi, D. B. (2012). Essays in Financial Economics . (Doctoral Dissertation). Princeton University. Retrieved from http://arks.princeton.edu/ark:/88435/dsp016395w712g

Chicago Manual of Style (16th Edition):

Choi, Dong Beom. “Essays in Financial Economics .” 2012. Doctoral Dissertation, Princeton University. Accessed October 18, 2019. http://arks.princeton.edu/ark:/88435/dsp016395w712g.

MLA Handbook (7th Edition):

Choi, Dong Beom. “Essays in Financial Economics .” 2012. Web. 18 Oct 2019.

Vancouver:

Choi DB. Essays in Financial Economics . [Internet] [Doctoral dissertation]. Princeton University; 2012. [cited 2019 Oct 18]. Available from: http://arks.princeton.edu/ark:/88435/dsp016395w712g.

Council of Science Editors:

Choi DB. Essays in Financial Economics . [Doctoral Dissertation]. Princeton University; 2012. Available from: http://arks.princeton.edu/ark:/88435/dsp016395w712g


University of Oxford

12. Kreston, Nicholas Alexander. Post-Keynesian financial spaces, places, and flows : geographies of finance and financial crisis.

Degree: PhD, 2014, University of Oxford

 This dissertation is a reaction to the public policy failures that culminated in, prolonged, and exacerbated the 2008 financial crisis in the United States. Between… (more)

Subjects/Keywords: 338.5; Geography; Urban Studies; Financial crises – history; Financial crises – case studies

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APA (6th Edition):

Kreston, N. A. (2014). Post-Keynesian financial spaces, places, and flows : geographies of finance and financial crisis. (Doctoral Dissertation). University of Oxford. Retrieved from http://ora.ox.ac.uk/objects/uuid:3ea77af2-650c-456a-a4c2-5ee67c83d293 ; http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.635227

Chicago Manual of Style (16th Edition):

Kreston, Nicholas Alexander. “Post-Keynesian financial spaces, places, and flows : geographies of finance and financial crisis.” 2014. Doctoral Dissertation, University of Oxford. Accessed October 18, 2019. http://ora.ox.ac.uk/objects/uuid:3ea77af2-650c-456a-a4c2-5ee67c83d293 ; http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.635227.

MLA Handbook (7th Edition):

Kreston, Nicholas Alexander. “Post-Keynesian financial spaces, places, and flows : geographies of finance and financial crisis.” 2014. Web. 18 Oct 2019.

Vancouver:

Kreston NA. Post-Keynesian financial spaces, places, and flows : geographies of finance and financial crisis. [Internet] [Doctoral dissertation]. University of Oxford; 2014. [cited 2019 Oct 18]. Available from: http://ora.ox.ac.uk/objects/uuid:3ea77af2-650c-456a-a4c2-5ee67c83d293 ; http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.635227.

Council of Science Editors:

Kreston NA. Post-Keynesian financial spaces, places, and flows : geographies of finance and financial crisis. [Doctoral Dissertation]. University of Oxford; 2014. Available from: http://ora.ox.ac.uk/objects/uuid:3ea77af2-650c-456a-a4c2-5ee67c83d293 ; http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.635227


Reykjavík University

13. Eva V. Markúsdóttir. Ireland's Too Big to Fail vs. Iceland's Too Big to Bail: Comparison of Policy responses and Post Crisis Recovery.

Degree: 2011, Reykjavík University

This thesis aims to compare Ireland's and Iceland's policy responses to the economic crisis as well as their post-crisis recovery. Both originated with an overextended… (more)

Subjects/Keywords: Bankar; Efnahagskreppur; Financial crises; Banks and banking

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APA (6th Edition):

Markúsdóttir, E. V. (2011). Ireland's Too Big to Fail vs. Iceland's Too Big to Bail: Comparison of Policy responses and Post Crisis Recovery. (Thesis). Reykjavík University. Retrieved from http://hdl.handle.net/1946/9931

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16th Edition):

Markúsdóttir, Eva V.. “Ireland's Too Big to Fail vs. Iceland's Too Big to Bail: Comparison of Policy responses and Post Crisis Recovery.” 2011. Thesis, Reykjavík University. Accessed October 18, 2019. http://hdl.handle.net/1946/9931.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7th Edition):

Markúsdóttir, Eva V.. “Ireland's Too Big to Fail vs. Iceland's Too Big to Bail: Comparison of Policy responses and Post Crisis Recovery.” 2011. Web. 18 Oct 2019.

Vancouver:

Markúsdóttir EV. Ireland's Too Big to Fail vs. Iceland's Too Big to Bail: Comparison of Policy responses and Post Crisis Recovery. [Internet] [Thesis]. Reykjavík University; 2011. [cited 2019 Oct 18]. Available from: http://hdl.handle.net/1946/9931.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

Markúsdóttir EV. Ireland's Too Big to Fail vs. Iceland's Too Big to Bail: Comparison of Policy responses and Post Crisis Recovery. [Thesis]. Reykjavík University; 2011. Available from: http://hdl.handle.net/1946/9931

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation


Reykjavík University

14. Már Wolfgang Mixa 1965. The Icelandic bubble and beyond : investment lessons from history and cultural effects.

Degree: 2016, Reykjavík University

 The research project focuses on investment behavior and the Icelandic economic bubble and crash, emphasizing that investment behavior has to be seen within a historical… (more)

Subjects/Keywords: Viðskiptafræði; Doktorsritgerðir; Efnahagskreppur; Ísland; Business; Financial crises

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APA (6th Edition):

1965, M. W. M. (2016). The Icelandic bubble and beyond : investment lessons from history and cultural effects. (Thesis). Reykjavík University. Retrieved from http://hdl.handle.net/1946/26440

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16th Edition):

1965, Már Wolfgang Mixa. “The Icelandic bubble and beyond : investment lessons from history and cultural effects.” 2016. Thesis, Reykjavík University. Accessed October 18, 2019. http://hdl.handle.net/1946/26440.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7th Edition):

1965, Már Wolfgang Mixa. “The Icelandic bubble and beyond : investment lessons from history and cultural effects.” 2016. Web. 18 Oct 2019.

Vancouver:

1965 MWM. The Icelandic bubble and beyond : investment lessons from history and cultural effects. [Internet] [Thesis]. Reykjavík University; 2016. [cited 2019 Oct 18]. Available from: http://hdl.handle.net/1946/26440.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

1965 MWM. The Icelandic bubble and beyond : investment lessons from history and cultural effects. [Thesis]. Reykjavík University; 2016. Available from: http://hdl.handle.net/1946/26440

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation


University of Hong Kong

15. 潘文君; Pan, Wenjun. Land/real estate development and financial crisis : a case study of financial crises during 1980-2013.

Degree: MAin China Development, 2014, University of Hong Kong

Since the Great Depression in 1929-1939, four major far-reaching financial crises took place: the collapse of Japanese asset price bubble in the 1990s, 1997 Asia… (more)

Subjects/Keywords: Financial crises - Japan; Real estate development - Japan

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APA · Chicago · MLA · Vancouver · CSE | Export to Zotero / EndNote / Reference Manager

APA (6th Edition):

潘文君; Pan, W. (2014). Land/real estate development and financial crisis : a case study of financial crises during 1980-2013. (Masters Thesis). University of Hong Kong. Retrieved from Pan, W. [潘文君]. (2014). Land/real estate development and financial crisis : a case study of financial crises during 1980-2013. (Thesis). University of Hong Kong, Pokfulam, Hong Kong SAR. Retrieved from http://dx.doi.org/10.5353/th_b5479405 ; http://hdl.handle.net/10722/211028

Chicago Manual of Style (16th Edition):

潘文君; Pan, Wenjun. “Land/real estate development and financial crisis : a case study of financial crises during 1980-2013.” 2014. Masters Thesis, University of Hong Kong. Accessed October 18, 2019. Pan, W. [潘文君]. (2014). Land/real estate development and financial crisis : a case study of financial crises during 1980-2013. (Thesis). University of Hong Kong, Pokfulam, Hong Kong SAR. Retrieved from http://dx.doi.org/10.5353/th_b5479405 ; http://hdl.handle.net/10722/211028.

MLA Handbook (7th Edition):

潘文君; Pan, Wenjun. “Land/real estate development and financial crisis : a case study of financial crises during 1980-2013.” 2014. Web. 18 Oct 2019.

Vancouver:

潘文君; Pan W. Land/real estate development and financial crisis : a case study of financial crises during 1980-2013. [Internet] [Masters thesis]. University of Hong Kong; 2014. [cited 2019 Oct 18]. Available from: Pan, W. [潘文君]. (2014). Land/real estate development and financial crisis : a case study of financial crises during 1980-2013. (Thesis). University of Hong Kong, Pokfulam, Hong Kong SAR. Retrieved from http://dx.doi.org/10.5353/th_b5479405 ; http://hdl.handle.net/10722/211028.

Council of Science Editors:

潘文君; Pan W. Land/real estate development and financial crisis : a case study of financial crises during 1980-2013. [Masters Thesis]. University of Hong Kong; 2014. Available from: Pan, W. [潘文君]. (2014). Land/real estate development and financial crisis : a case study of financial crises during 1980-2013. (Thesis). University of Hong Kong, Pokfulam, Hong Kong SAR. Retrieved from http://dx.doi.org/10.5353/th_b5479405 ; http://hdl.handle.net/10722/211028


UCLA

16. Giuliano, Fernando Mauro. Essays on the Real Effects of Financial Market Fluctuations.

Degree: Economics, 2015, UCLA

 In the following essays I study the effects of disruptions in financial markets on aggregate outcomes.In the first two chapters, I study the transmission mechanisms… (more)

Subjects/Keywords: Economics; Aggregate Productivity; Financial Crises; Macroeconomics; Misallocation

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APA (6th Edition):

Giuliano, F. M. (2015). Essays on the Real Effects of Financial Market Fluctuations. (Thesis). UCLA. Retrieved from http://www.escholarship.org/uc/item/33p55579

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16th Edition):

Giuliano, Fernando Mauro. “Essays on the Real Effects of Financial Market Fluctuations.” 2015. Thesis, UCLA. Accessed October 18, 2019. http://www.escholarship.org/uc/item/33p55579.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7th Edition):

Giuliano, Fernando Mauro. “Essays on the Real Effects of Financial Market Fluctuations.” 2015. Web. 18 Oct 2019.

Vancouver:

Giuliano FM. Essays on the Real Effects of Financial Market Fluctuations. [Internet] [Thesis]. UCLA; 2015. [cited 2019 Oct 18]. Available from: http://www.escholarship.org/uc/item/33p55579.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

Giuliano FM. Essays on the Real Effects of Financial Market Fluctuations. [Thesis]. UCLA; 2015. Available from: http://www.escholarship.org/uc/item/33p55579

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation


McGill University

17. Spotton, Brenda L. (Brenda Lynn). A study of financial instability.

Degree: PhD, Department of Economics., 1993, McGill University

 This study is a theoretical and historical study of the combined issues of destabilizing speculation and financial crises. First, we critically examine the orthodox mathematical… (more)

Subjects/Keywords: Speculation; Financial crises

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APA (6th Edition):

Spotton, B. L. (. L. (1993). A study of financial instability. (Doctoral Dissertation). McGill University. Retrieved from http://digitool.library.mcgill.ca/thesisfile41138.pdf

Chicago Manual of Style (16th Edition):

Spotton, Brenda L (Brenda Lynn). “A study of financial instability.” 1993. Doctoral Dissertation, McGill University. Accessed October 18, 2019. http://digitool.library.mcgill.ca/thesisfile41138.pdf.

MLA Handbook (7th Edition):

Spotton, Brenda L (Brenda Lynn). “A study of financial instability.” 1993. Web. 18 Oct 2019.

Vancouver:

Spotton BL(L. A study of financial instability. [Internet] [Doctoral dissertation]. McGill University; 1993. [cited 2019 Oct 18]. Available from: http://digitool.library.mcgill.ca/thesisfile41138.pdf.

Council of Science Editors:

Spotton BL(L. A study of financial instability. [Doctoral Dissertation]. McGill University; 1993. Available from: http://digitool.library.mcgill.ca/thesisfile41138.pdf


Columbia University

18. Ottonello, Pablo. Essays in Macroeconomics and Finance.

Degree: 2015, Columbia University

 This dissertation contains three essays on Macroeconomics and Finance. The first chapter has been motivated by the fact that recoveries from financial crises are characterized… (more)

Subjects/Keywords: Economics; Finance; Macroeconomics; Stocks; Financial crises

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APA (6th Edition):

Ottonello, P. (2015). Essays in Macroeconomics and Finance. (Doctoral Dissertation). Columbia University. Retrieved from https://doi.org/10.7916/D8JT0X81

Chicago Manual of Style (16th Edition):

Ottonello, Pablo. “Essays in Macroeconomics and Finance.” 2015. Doctoral Dissertation, Columbia University. Accessed October 18, 2019. https://doi.org/10.7916/D8JT0X81.

MLA Handbook (7th Edition):

Ottonello, Pablo. “Essays in Macroeconomics and Finance.” 2015. Web. 18 Oct 2019.

Vancouver:

Ottonello P. Essays in Macroeconomics and Finance. [Internet] [Doctoral dissertation]. Columbia University; 2015. [cited 2019 Oct 18]. Available from: https://doi.org/10.7916/D8JT0X81.

Council of Science Editors:

Ottonello P. Essays in Macroeconomics and Finance. [Doctoral Dissertation]. Columbia University; 2015. Available from: https://doi.org/10.7916/D8JT0X81


University of Waterloo

19. Melkuev, David. Asset Return Correlations in Episodes of Systemic Crises.

Degree: 2014, University of Waterloo

 This thesis explores asset return correlation dynamics in relation to systemic crises. The eigenvalues obtained from principal component analysis performed on the sample return correlation… (more)

Subjects/Keywords: systemic financial crises; correlation; principal component analysis

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APA · Chicago · MLA · Vancouver · CSE | Export to Zotero / EndNote / Reference Manager

APA (6th Edition):

Melkuev, D. (2014). Asset Return Correlations in Episodes of Systemic Crises. (Thesis). University of Waterloo. Retrieved from http://hdl.handle.net/10012/8689

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16th Edition):

Melkuev, David. “Asset Return Correlations in Episodes of Systemic Crises.” 2014. Thesis, University of Waterloo. Accessed October 18, 2019. http://hdl.handle.net/10012/8689.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7th Edition):

Melkuev, David. “Asset Return Correlations in Episodes of Systemic Crises.” 2014. Web. 18 Oct 2019.

Vancouver:

Melkuev D. Asset Return Correlations in Episodes of Systemic Crises. [Internet] [Thesis]. University of Waterloo; 2014. [cited 2019 Oct 18]. Available from: http://hdl.handle.net/10012/8689.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

Melkuev D. Asset Return Correlations in Episodes of Systemic Crises. [Thesis]. University of Waterloo; 2014. Available from: http://hdl.handle.net/10012/8689

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation


Rutgers University

20. Shinohara, Shugo. Exit, voice, and loyalty under municipal decline: a difference-in-difference analysis in Japan.

Degree: PhD, Public Administration (SPAA), 2016, Rutgers University

While some municipalities grow, others decline. When municipalities are in disastrous conflicts or degrade service quality, residents may move away, speeding up a cycle of… (more)

Subjects/Keywords: Cities and towns – Japan; Financial crises – Japan

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APA (6th Edition):

Shinohara, S. (2016). Exit, voice, and loyalty under municipal decline: a difference-in-difference analysis in Japan. (Doctoral Dissertation). Rutgers University. Retrieved from https://rucore.libraries.rutgers.edu/rutgers-lib/50561/

Chicago Manual of Style (16th Edition):

Shinohara, Shugo. “Exit, voice, and loyalty under municipal decline: a difference-in-difference analysis in Japan.” 2016. Doctoral Dissertation, Rutgers University. Accessed October 18, 2019. https://rucore.libraries.rutgers.edu/rutgers-lib/50561/.

MLA Handbook (7th Edition):

Shinohara, Shugo. “Exit, voice, and loyalty under municipal decline: a difference-in-difference analysis in Japan.” 2016. Web. 18 Oct 2019.

Vancouver:

Shinohara S. Exit, voice, and loyalty under municipal decline: a difference-in-difference analysis in Japan. [Internet] [Doctoral dissertation]. Rutgers University; 2016. [cited 2019 Oct 18]. Available from: https://rucore.libraries.rutgers.edu/rutgers-lib/50561/.

Council of Science Editors:

Shinohara S. Exit, voice, and loyalty under municipal decline: a difference-in-difference analysis in Japan. [Doctoral Dissertation]. Rutgers University; 2016. Available from: https://rucore.libraries.rutgers.edu/rutgers-lib/50561/


Nelson Mandela Metropolitan University

21. Magagula, Sifiso Charles. Liquidity linkages between the South African bond and equity markets.

Degree: Faculty of Business and Economic Sciences, 2014, Nelson Mandela Metropolitan University

 Purpose - The study sought to examine the liquidity linkages between the South African bond and equity markets before the global financial crisis in 2008.… (more)

Subjects/Keywords: Financial crises; Global Financial Crisis, 2000-2008; Financial risk management

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APA · Chicago · MLA · Vancouver · CSE | Export to Zotero / EndNote / Reference Manager

APA (6th Edition):

Magagula, S. C. (2014). Liquidity linkages between the South African bond and equity markets. (Thesis). Nelson Mandela Metropolitan University. Retrieved from http://hdl.handle.net/10948/d1020758

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16th Edition):

Magagula, Sifiso Charles. “Liquidity linkages between the South African bond and equity markets.” 2014. Thesis, Nelson Mandela Metropolitan University. Accessed October 18, 2019. http://hdl.handle.net/10948/d1020758.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7th Edition):

Magagula, Sifiso Charles. “Liquidity linkages between the South African bond and equity markets.” 2014. Web. 18 Oct 2019.

Vancouver:

Magagula SC. Liquidity linkages between the South African bond and equity markets. [Internet] [Thesis]. Nelson Mandela Metropolitan University; 2014. [cited 2019 Oct 18]. Available from: http://hdl.handle.net/10948/d1020758.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

Magagula SC. Liquidity linkages between the South African bond and equity markets. [Thesis]. Nelson Mandela Metropolitan University; 2014. Available from: http://hdl.handle.net/10948/d1020758

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation


Pontifícia Universidade Católica de São Paulo

22. Theresângela Giongo Flores Araes. O impacto de crises financeiras e de medidas prudenciais adotadas pelo Banco Central do Brasil no desempenho bursátil e contábil dos bancos brasileiros no período de junho de 2008 a junho de 2012.

Degree: 2013, Pontifícia Universidade Católica de São Paulo

The bankruptcy of Lehman Brothers in 2008 rapidly provoked a severe systemic risk in the global banking industry and resulted in the worst financial crisis… (more)

Subjects/Keywords: ADMINISTRACAO; Sistema financeiro; Crises Financeiras; Estudo de Eventos; Financial system; Financial crises; Events study

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APA (6th Edition):

Araes, T. G. F. (2013). O impacto de crises financeiras e de medidas prudenciais adotadas pelo Banco Central do Brasil no desempenho bursátil e contábil dos bancos brasileiros no período de junho de 2008 a junho de 2012. (Thesis). Pontifícia Universidade Católica de São Paulo. Retrieved from http://www.sapientia.pucsp.br//tde_busca/arquivo.php?codArquivo=16272

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16th Edition):

Araes, Theresângela Giongo Flores. “O impacto de crises financeiras e de medidas prudenciais adotadas pelo Banco Central do Brasil no desempenho bursátil e contábil dos bancos brasileiros no período de junho de 2008 a junho de 2012.” 2013. Thesis, Pontifícia Universidade Católica de São Paulo. Accessed October 18, 2019. http://www.sapientia.pucsp.br//tde_busca/arquivo.php?codArquivo=16272.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7th Edition):

Araes, Theresângela Giongo Flores. “O impacto de crises financeiras e de medidas prudenciais adotadas pelo Banco Central do Brasil no desempenho bursátil e contábil dos bancos brasileiros no período de junho de 2008 a junho de 2012.” 2013. Web. 18 Oct 2019.

Vancouver:

Araes TGF. O impacto de crises financeiras e de medidas prudenciais adotadas pelo Banco Central do Brasil no desempenho bursátil e contábil dos bancos brasileiros no período de junho de 2008 a junho de 2012. [Internet] [Thesis]. Pontifícia Universidade Católica de São Paulo; 2013. [cited 2019 Oct 18]. Available from: http://www.sapientia.pucsp.br//tde_busca/arquivo.php?codArquivo=16272.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

Araes TGF. O impacto de crises financeiras e de medidas prudenciais adotadas pelo Banco Central do Brasil no desempenho bursátil e contábil dos bancos brasileiros no período de junho de 2008 a junho de 2012. [Thesis]. Pontifícia Universidade Católica de São Paulo; 2013. Available from: http://www.sapientia.pucsp.br//tde_busca/arquivo.php?codArquivo=16272

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

23. Peia, Oana. Four essays on finance and the real economy : Quatre essais sur la finance et l’économie réelle.

Degree: Docteur es, Sciences économiques - EM2C, 2016, Cergy-Pontoise

 This thesis consists of four essays on finance and the real economy. Chapter 1 studies the effect of banking crises on the composition of investment.… (more)

Subjects/Keywords: Croissance économique; Développement financier; Crises financières; Investissement; Economic growth; Financial development; Financial crises; Investment

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APA (6th Edition):

Peia, O. (2016). Four essays on finance and the real economy : Quatre essais sur la finance et l’économie réelle. (Doctoral Dissertation). Cergy-Pontoise. Retrieved from http://www.theses.fr/2016CERG0832

Chicago Manual of Style (16th Edition):

Peia, Oana. “Four essays on finance and the real economy : Quatre essais sur la finance et l’économie réelle.” 2016. Doctoral Dissertation, Cergy-Pontoise. Accessed October 18, 2019. http://www.theses.fr/2016CERG0832.

MLA Handbook (7th Edition):

Peia, Oana. “Four essays on finance and the real economy : Quatre essais sur la finance et l’économie réelle.” 2016. Web. 18 Oct 2019.

Vancouver:

Peia O. Four essays on finance and the real economy : Quatre essais sur la finance et l’économie réelle. [Internet] [Doctoral dissertation]. Cergy-Pontoise; 2016. [cited 2019 Oct 18]. Available from: http://www.theses.fr/2016CERG0832.

Council of Science Editors:

Peia O. Four essays on finance and the real economy : Quatre essais sur la finance et l’économie réelle. [Doctoral Dissertation]. Cergy-Pontoise; 2016. Available from: http://www.theses.fr/2016CERG0832


Deakin University

24. Hasanov, Rashad. Essays on financial crises.

Degree: Department of Economics, 2016, Deakin University

  The thesis focuses on political and institutional aspects of financial crises. The first two chapters study the impact of political regime type and government popularity… (more)

Subjects/Keywords: financial crises, political aspects; financial crises, institutional aspects; political regime type; government popularity; fiscal stimulus

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APA (6th Edition):

Hasanov, R. (2016). Essays on financial crises. (Thesis). Deakin University. Retrieved from http://hdl.handle.net/10536/DRO/DU:30084839

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16th Edition):

Hasanov, Rashad. “Essays on financial crises.” 2016. Thesis, Deakin University. Accessed October 18, 2019. http://hdl.handle.net/10536/DRO/DU:30084839.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7th Edition):

Hasanov, Rashad. “Essays on financial crises.” 2016. Web. 18 Oct 2019.

Vancouver:

Hasanov R. Essays on financial crises. [Internet] [Thesis]. Deakin University; 2016. [cited 2019 Oct 18]. Available from: http://hdl.handle.net/10536/DRO/DU:30084839.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

Hasanov R. Essays on financial crises. [Thesis]. Deakin University; 2016. Available from: http://hdl.handle.net/10536/DRO/DU:30084839

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation


University of Oxford

25. Morelli, Salvatore. The long run evolution of inequality and macroeconomic shocks.

Degree: PhD, 2013, University of Oxford

 This thesis is concerned with two main questions. Do systemic banking crises substantially affect the income distribution in a country? Is income inequality a destabilising… (more)

Subjects/Keywords: 339.2; Economics; inequality; income distribution; top income shares; banking crises; consumption; macroeconomic crises; financial instability

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APA (6th Edition):

Morelli, S. (2013). The long run evolution of inequality and macroeconomic shocks. (Doctoral Dissertation). University of Oxford. Retrieved from http://ora.ox.ac.uk/objects/uuid:03fd894e-581e-4c80-9ee6-bc965b9e5aed ; https://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.588457

Chicago Manual of Style (16th Edition):

Morelli, Salvatore. “The long run evolution of inequality and macroeconomic shocks.” 2013. Doctoral Dissertation, University of Oxford. Accessed October 18, 2019. http://ora.ox.ac.uk/objects/uuid:03fd894e-581e-4c80-9ee6-bc965b9e5aed ; https://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.588457.

MLA Handbook (7th Edition):

Morelli, Salvatore. “The long run evolution of inequality and macroeconomic shocks.” 2013. Web. 18 Oct 2019.

Vancouver:

Morelli S. The long run evolution of inequality and macroeconomic shocks. [Internet] [Doctoral dissertation]. University of Oxford; 2013. [cited 2019 Oct 18]. Available from: http://ora.ox.ac.uk/objects/uuid:03fd894e-581e-4c80-9ee6-bc965b9e5aed ; https://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.588457.

Council of Science Editors:

Morelli S. The long run evolution of inequality and macroeconomic shocks. [Doctoral Dissertation]. University of Oxford; 2013. Available from: http://ora.ox.ac.uk/objects/uuid:03fd894e-581e-4c80-9ee6-bc965b9e5aed ; https://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.588457

26. Chouchane, Hanene. Libéralisation financière, institutions et crises bancaires : cas des pays de la région MENA : Financial liberalization, institutions and banking crises : for countries in the MENA region.

Degree: Docteur es, Sciences économiques, 2015, Nice; Université du Centre (Sousse, Tunisie). Faculté de droit et des sciences économiques et politiques

Depuis que la libéralisation financière a été adoptée par la plupart des pays de la région Moyen Orient et Afrique du Nord (MENA), le nombre… (more)

Subjects/Keywords: Libéralisation financière; Crises bancaires systémiques; Institutions fianncières; Financial Liberalization; Systemic banking crises; Logit

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APA (6th Edition):

Chouchane, H. (2015). Libéralisation financière, institutions et crises bancaires : cas des pays de la région MENA : Financial liberalization, institutions and banking crises : for countries in the MENA region. (Doctoral Dissertation). Nice; Université du Centre (Sousse, Tunisie). Faculté de droit et des sciences économiques et politiques. Retrieved from http://www.theses.fr/2015NICE0002

Chicago Manual of Style (16th Edition):

Chouchane, Hanene. “Libéralisation financière, institutions et crises bancaires : cas des pays de la région MENA : Financial liberalization, institutions and banking crises : for countries in the MENA region.” 2015. Doctoral Dissertation, Nice; Université du Centre (Sousse, Tunisie). Faculté de droit et des sciences économiques et politiques. Accessed October 18, 2019. http://www.theses.fr/2015NICE0002.

MLA Handbook (7th Edition):

Chouchane, Hanene. “Libéralisation financière, institutions et crises bancaires : cas des pays de la région MENA : Financial liberalization, institutions and banking crises : for countries in the MENA region.” 2015. Web. 18 Oct 2019.

Vancouver:

Chouchane H. Libéralisation financière, institutions et crises bancaires : cas des pays de la région MENA : Financial liberalization, institutions and banking crises : for countries in the MENA region. [Internet] [Doctoral dissertation]. Nice; Université du Centre (Sousse, Tunisie). Faculté de droit et des sciences économiques et politiques; 2015. [cited 2019 Oct 18]. Available from: http://www.theses.fr/2015NICE0002.

Council of Science Editors:

Chouchane H. Libéralisation financière, institutions et crises bancaires : cas des pays de la région MENA : Financial liberalization, institutions and banking crises : for countries in the MENA region. [Doctoral Dissertation]. Nice; Université du Centre (Sousse, Tunisie). Faculté de droit et des sciences économiques et politiques; 2015. Available from: http://www.theses.fr/2015NICE0002


University of Pennsylvania

27. Lee, Michael Junho. Uncertain Booms and Fragility.

Degree: 2016, University of Pennsylvania

 I develop a framework of the build-up and outbreak of financial crises in an asymmetric information setting. In equilibrium, two distinct economic states arise endogenously:… (more)

Subjects/Keywords: Asymmetric Information; Booms; Financial Crises; Financial Intermediation; Fragility; Economics; Economic Theory; Finance and Financial Management

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APA (6th Edition):

Lee, M. J. (2016). Uncertain Booms and Fragility. (Thesis). University of Pennsylvania. Retrieved from https://repository.upenn.edu/edissertations/1837

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16th Edition):

Lee, Michael Junho. “Uncertain Booms and Fragility.” 2016. Thesis, University of Pennsylvania. Accessed October 18, 2019. https://repository.upenn.edu/edissertations/1837.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7th Edition):

Lee, Michael Junho. “Uncertain Booms and Fragility.” 2016. Web. 18 Oct 2019.

Vancouver:

Lee MJ. Uncertain Booms and Fragility. [Internet] [Thesis]. University of Pennsylvania; 2016. [cited 2019 Oct 18]. Available from: https://repository.upenn.edu/edissertations/1837.

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

Lee MJ. Uncertain Booms and Fragility. [Thesis]. University of Pennsylvania; 2016. Available from: https://repository.upenn.edu/edissertations/1837

Note: this citation may be lacking information needed for this citation format:
Not specified: Masters Thesis or Doctoral Dissertation

28. Ferreira, Leandro Augusto. As redes complexas e o estudo do risco sistêmico no sistema financeiro.

Degree: Mestrado, Sistemas Complexos, 2013, University of São Paulo

As crises financeiras são processos de perdas decorrentes do mecanismo do mercado financeiro. Elas afetam as instituições do sistema financeiro e por meio do processo… (more)

Subjects/Keywords: Complex networks; Complex systems; Contágio financeiro; Crises financeiras; Financial contagion; Financial crises; Redes complexas; Risco sistêmico; Sistemas complexos; Systemic risk

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APA · Chicago · MLA · Vancouver · CSE | Export to Zotero / EndNote / Reference Manager

APA (6th Edition):

Ferreira, L. A. (2013). As redes complexas e o estudo do risco sistêmico no sistema financeiro. (Masters Thesis). University of São Paulo. Retrieved from http://www.teses.usp.br/teses/disponiveis/100/100132/tde-12092013-184127/ ;

Chicago Manual of Style (16th Edition):

Ferreira, Leandro Augusto. “As redes complexas e o estudo do risco sistêmico no sistema financeiro.” 2013. Masters Thesis, University of São Paulo. Accessed October 18, 2019. http://www.teses.usp.br/teses/disponiveis/100/100132/tde-12092013-184127/ ;.

MLA Handbook (7th Edition):

Ferreira, Leandro Augusto. “As redes complexas e o estudo do risco sistêmico no sistema financeiro.” 2013. Web. 18 Oct 2019.

Vancouver:

Ferreira LA. As redes complexas e o estudo do risco sistêmico no sistema financeiro. [Internet] [Masters thesis]. University of São Paulo; 2013. [cited 2019 Oct 18]. Available from: http://www.teses.usp.br/teses/disponiveis/100/100132/tde-12092013-184127/ ;.

Council of Science Editors:

Ferreira LA. As redes complexas e o estudo do risco sistêmico no sistema financeiro. [Masters Thesis]. University of São Paulo; 2013. Available from: http://www.teses.usp.br/teses/disponiveis/100/100132/tde-12092013-184127/ ;


Universidade do Minho

29. Pereira, Dirceu Rodolfo Coelho. Financial contagion in the BRICS stock markets: an empirical analysis of the Lehman Brothers collapse and European sovereign debt crisis .

Degree: 2017, Universidade do Minho

 Purpose – The purpose of this research is to analyze and extend the study of contagion for BRICS Emerging Stock Markets in the context of… (more)

Subjects/Keywords: Financial contagion; BRICS Stock Markets; AR Models; Financial crises; Contágio financeiro; Mercado de Ações dos BRICS; Modelos VAR; Crises financeiras

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APA · Chicago · MLA · Vancouver · CSE | Export to Zotero / EndNote / Reference Manager

APA (6th Edition):

Pereira, D. R. C. (2017). Financial contagion in the BRICS stock markets: an empirical analysis of the Lehman Brothers collapse and European sovereign debt crisis . (Masters Thesis). Universidade do Minho. Retrieved from http://hdl.handle.net/1822/46517

Chicago Manual of Style (16th Edition):

Pereira, Dirceu Rodolfo Coelho. “Financial contagion in the BRICS stock markets: an empirical analysis of the Lehman Brothers collapse and European sovereign debt crisis .” 2017. Masters Thesis, Universidade do Minho. Accessed October 18, 2019. http://hdl.handle.net/1822/46517.

MLA Handbook (7th Edition):

Pereira, Dirceu Rodolfo Coelho. “Financial contagion in the BRICS stock markets: an empirical analysis of the Lehman Brothers collapse and European sovereign debt crisis .” 2017. Web. 18 Oct 2019.

Vancouver:

Pereira DRC. Financial contagion in the BRICS stock markets: an empirical analysis of the Lehman Brothers collapse and European sovereign debt crisis . [Internet] [Masters thesis]. Universidade do Minho; 2017. [cited 2019 Oct 18]. Available from: http://hdl.handle.net/1822/46517.

Council of Science Editors:

Pereira DRC. Financial contagion in the BRICS stock markets: an empirical analysis of the Lehman Brothers collapse and European sovereign debt crisis . [Masters Thesis]. Universidade do Minho; 2017. Available from: http://hdl.handle.net/1822/46517


Rhodes University

30. Graham, Brydone. An empirical analysis of financial stress within South Africa and its apparent co-movement with financial stress emanating from advanced and emerging economies.

Degree: M.Com., Faculty of Commerce, Economics, 2013, Rhodes University

 The identification of financial stress, and an understanding of financial contagion on a global scale, is of critical importance to a South African economy that… (more)

Subjects/Keywords: Financial crises  – South Africa; Financial crises  – Developing countries; Globalization  – Economic aspects  – South Africa; International economic relations; South Africa  – Economic conditions

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APA · Chicago · MLA · Vancouver · CSE | Export to Zotero / EndNote / Reference Manager

APA (6th Edition):

Graham, B. (2013). An empirical analysis of financial stress within South Africa and its apparent co-movement with financial stress emanating from advanced and emerging economies. (Masters Thesis). Rhodes University. Retrieved from http://hdl.handle.net/10962/d1006795

Chicago Manual of Style (16th Edition):

Graham, Brydone. “An empirical analysis of financial stress within South Africa and its apparent co-movement with financial stress emanating from advanced and emerging economies.” 2013. Masters Thesis, Rhodes University. Accessed October 18, 2019. http://hdl.handle.net/10962/d1006795.

MLA Handbook (7th Edition):

Graham, Brydone. “An empirical analysis of financial stress within South Africa and its apparent co-movement with financial stress emanating from advanced and emerging economies.” 2013. Web. 18 Oct 2019.

Vancouver:

Graham B. An empirical analysis of financial stress within South Africa and its apparent co-movement with financial stress emanating from advanced and emerging economies. [Internet] [Masters thesis]. Rhodes University; 2013. [cited 2019 Oct 18]. Available from: http://hdl.handle.net/10962/d1006795.

Council of Science Editors:

Graham B. An empirical analysis of financial stress within South Africa and its apparent co-movement with financial stress emanating from advanced and emerging economies. [Masters Thesis]. Rhodes University; 2013. Available from: http://hdl.handle.net/10962/d1006795

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