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Banking sector concentration, competition and financial stability: the case of the Baltic countries

This paper empirically assesses the potential nonlinear relationship between competition and bank risk for a sample of commercial banks in the Baltic countries over the period 2000–2014.

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Characterizing the hedging policies of commodity price-sensitive corporations

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Cryptofinance and Mechanisms of Exchange

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Emerging markets financial sector debt: A Markov-switching study of interest rate sensitivity

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Evaluating sovereign risk spillovers on domestic banks during the European debt crisis

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Golfe Arabo-Persique : l’après-pétrole reconfigure l’équilibre régional

The partial disengagement of the United States from the Persian Gulf resulting from the decrease in its energy dependence seems to have left Russia with a political and strategic space.

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LES ORGANISATIONS INTERMEDIAIRES ET L’INNOVATION EN SANTE : LES MULTIPLES FACETTES DE L’INTERMEDIATION DE RESEAU

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Risk Factors and Contagion in Commodity Markets and Stocks Markets

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The role of economic structural factors in determining pandemic mortality rates: Evidence from the COVID-19 outbreak in France

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