Issue 2/2023
Content (6 Articles)
Government Guarantees and Banks’ Income Smoothing
Manuela M. Dantas, Kenneth J. Merkley, Felipe B. G. Silva
Bank Consolidation and Systemic Risk: M&A During the 2008 Financial Crisis
Gregory D. Maslak, Gonca Senel
How much do Investors Rely on Credit Ratings: Empirical evidence from the U.S. and E.U. CLO primary market
Frank Fabozzi, Vivian M. van Breemen, Dennis Vink, Mike Nawas, Austin Gengos