Details about Arie L. Melnik
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Short-id: pme356
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Working Papers
2008
- The Capital Structure of Young Firms and the Working Experience of New Entrepreneurs
ICER Working Papers, ICER - International Centre for Economic Research
2007
- The Institutional Structure and the Cost of Bank Loans: an International Comparison
ICER Working Papers, ICER - International Centre for Economic Research
2006
- The Formation of Firms and the Prior Experience of New Entrepreneurs
ICER Working Papers, ICER - International Centre for Economic Research View citations (1)
2005
- Relative Market Share, Leadership and Competition in Concentrated Banking Markets
ICER Working Papers, ICER - International Centre for Economic Research View citations (2)
2004
- Liquidity and Issue Costs in Eurobond Market: The Effects of Market Integration
Money Macro and Finance (MMF) Research Group Conference 2004, Money Macro and Finance Research Group View citations (1)
Also in ICER Working Papers, ICER - International Centre for Economic Research (2004)
2003
- Debt issue costs and issue characteristics in the Eurobond market
ICER Working Papers, ICER - International Centre for Economic Research View citations (6)
1987
- Loan Commitments and Monetary Policy
NBER Working Papers, National Bureau of Economic Research, Inc View citations (1)
See also Journal Article Loan commitments and monetary policy, Journal of Banking & Finance, Elsevier (1990) View citations (27) (1990)
- The Pricing of Bank Loans with Contingent Assets and Liabilities
Research Program in Finance Working Papers, University of California at Berkeley
Journal Articles
2008
- Assessing market dominance
Journal of Economic Behavior & Organization, 2008, 68, (1), 63-72 View citations (13)
2006
- Issue costs in the Eurobond market: The effects of market integration
Journal of Banking & Finance, 2006, 30, (1), 157-177 View citations (16)
2003
- International institutional lending arrangements to sovereign borrowers
Journal of International Money and Finance, 2003, 22, (4), 459-481 View citations (1)
- Short-term reaction of stock markets in stressful circumstances
Journal of Banking & Finance, 2003, 27, (10), 1959-1977 View citations (45)
1998
- Credit quality, the intensity of regulation and the segmentation of debt markets
Research in Economics, 1998, 52, (4), 431-449 View citations (1)
1996
- Industrial structure in the Eurocredit underwriting market
Journal of International Money and Finance, 1996, 15, (4), 623-636 View citations (6)
1994
- Why Do ARMs Use Additive Interest Markups?
Journal of Housing Economics, 1994, 3, (2), 147-155
1992
- Currency swaps, hedging, and the exchange of collateral
Journal of International Money and Finance, 1992, 11, (5), 446-461
1990
- Loan commitments and monetary policy
Journal of Banking & Finance, 1990, 14, (4), 677-689 View citations (27)
See also Working Paper Loan Commitments and Monetary Policy, NBER Working Papers (1987) View citations (1) (1987)
1987
- Interest rate indexation and the pricing of loan commitment contracts
Journal of Banking & Finance, 1987, 11, (1), 137-145 View citations (1)
- Loan Demand: An Empirical Analysis Using Micro Data
The Review of Economics and Statistics, 1987, 69, (4), 704-09 View citations (19)
1986
- Introduction
Journal of Banking & Finance, 1986, 10, (2), 169-172
- Loan Commitment Contracts, Terms of Lending, and Credit Allocation
Journal of Finance, 1986, 41, (2), 425-35 View citations (75)
- The economics of loan commitment contracts: Credit pricing and utilization
Journal of Banking & Finance, 1986, 10, (2), 267-280 View citations (17)
1983
- The role of banks in the international financial system: by Nancy Teeters
Journal of Banking & Finance, 1983, 7, (4), 465-466
1981
- The substitution of capital, labor and energy in the Israeli economy
Resources and Energy, 1981, 3, (3), 247-258 View citations (1)
1980
- Competitive Commission Rates, Execution Quality, and Customer's Market Power: A Note
Journal of Money, Credit and Banking, 1980, 12, (2), 221-27
1978
- Determinants of commission rates for bank trust stock transactions
Journal of Banking & Finance, 1978, 2, (4), 355-366
1977
- Option values, stipends and the returns to educational investment
Journal of Econometrics, 1977, 6, (2), 243-260
1976
- Dropout Risks, Option Values, and Returns to Investment in Schooling
Canadian Journal of Economics, 1976, 9, (1), 45-56 View citations (3)
1974
- Bargaining, Yield Curves, and Wage Settlements: An Empirical Analysis
Journal of Political Economy, 1974, 82, (2), 303-13 View citations (2)
1973
- Debt Capacity, Diversification and Conglomerate Mergers
Journal of Finance, 1973, 28, (5), 1163-73 View citations (3)
- The Option Value of Education and the Optimal Path for Investment in Human Capital
International Economic Review, 1973, 14, (2), 421-35 View citations (77)
1971
- More on the Short Cycles of Interest Rates
Journal of Financial and Quantitative Analysis, 1971, 6, (3), 1047-1052
1970
- Short Run Determinants of Commercial Bank Investment Portfolios: An Empirical Analysis
Journal of Finance, 1970, 25, (3), 639-49 View citations (1)
1969
- Short-Run Interest Rate Cycles in the U.S.: 1954–1967**
Journal of Financial and Quantitative Analysis, 1969, 4, (3), 291-299
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