Next Article in Journal
How Does the Financial Crisis Affect Volatility Behavior and Transmission Among European Stock Markets?
Next Article in Special Issue
Sovereign Credit Risk and Stock Markets–Does the Markets’ Dependency Increase with Financial Distress?
Previous Article in Journal
On the Choice of the Discount Rate and the Role of Financial Variables and Physical Parameters in Estimating the Levelized Cost of Energy
Previous Article in Special Issue
Quantity versus Price Rationing of Credit: An Empirical Test
Article Menu

Export Article

Open AccessArticle
Int. J. Financial Stud. 2013, 1(3), 62-80;

Notes on Article Versions

Action Date Notes Link
article pdf uploaded. 24 July 2013 13:44 CEST Version of Record
article html file updated 17 June 2015 11:39 CEST Original file -
article html file updated 21 March 2019 01:50 CET Update -
article html file updated 8 May 2019 02:31 CEST Update
Int. J. Financial Stud. EISSN 2227-7072 Published by MDPI AG, Basel, Switzerland RSS E-Mail Table of Contents Alert
Back to Top