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Showing 612 - 624 of 677

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A Global Model for Bankruptcy Prediction

David Alaminos, Agustín del Castillo, Manuel Ángel Fernández

Non-Market Values in a Cost-Benefit World: Evidence from a Choice Experiment

Florian V. Eppink, Matthew Winden, Will C. C. Wright, Suzie Greenhalgh

The Accounting Network: How Financial Institutions React to Systemic Crisis

Michelangelo Puliga, Andrea Flori,  [ ... ], Fabio Pammolli

Monetary Expansion and the Banking Lending Channel

Benjamin Miranda Tabak, Tito Belchior Silva Moreira,  [ ... ], George Henrrique de Moura Cunha

Distress Propagation in Complex Networks: The Case of Non-Linear DebtRank

Marco Bardoscia, Fabio Caccioli,  [ ... ], Guido Caldarelli

Quantifying Systemic Risk by Solutions of the Mean-Variance Risk Model

Jan Jurczyk, Alexander Eckrot, Ingo Morgenstern

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