A note on the transmission of public informtion across inetrnational stock markets C. Sherman Cheung; Clarence C. Y. Kwan Journal of Banking & Finance 1992 16(4), 831-837
An instantaneous control model of bank reserves and Federal funds management Andrew H. Chen; Sumon C. Mazumdar Journal of Banking & Finance 1992 16(6), 1073-1095
Efficiency and inefficiency in thinly traded stock markets: Kuwait and Saudi Arabia Kirt C. Butler; S.J. Malaikah Journal of Banking & Finance 1992 16(1), 197-210
Testing for the fundamental determinants of the long run real exchange rate G. C. Lim Journal of Banking & Finance 1992 16(3), 625-642
Tests of the nominal contracting hypothesis using stocks and bonds of the same firms Eric C. Chang; Grant R. McQueen; J. Michael Pinegar Journal of Banking & Finance 1992 16(3), 477-496
The international transmission of eurodollar and US interest rates: A cointegration analysis Hung-Gay Fung; Steven C. Isberg Journal of Banking & Finance 1992 16(4), 757-769
An empirical analysis of scale and scope economies and technical change in an Irish multiproduct banking firm J. Colin Glass; D. G. McKillop Journal of Banking & Finance 1992 16(2), 423-437
A note on the no premature exercise condition of dividend payout unprotected american call options: A clarification Robert C. Klemkosky; Bruce G. Resnick Journal of Banking & Finance 1992 16(2), 373-379
An analysis of default risk in mobile home credit Edward C. Lawrence; L. Douglas Smith; Malcolm Rhoades Journal of Banking & Finance 1992 16(2), 299-312
Fixed-rate deposit insurance and risk-shifting behavior at commercial banks Jin-Chuan Duan; Arthur F. Moreau; C. W. Sealey Journal of Banking & Finance 1992 16(4), 715-742