Details about Kjell Bjørn Nordal
Access statistics for papers by Kjell Bjørn Nordal.
Last updated 2024-11-08. Update your information in the RePEc Author Service.
Short-id: pno65
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Working Papers
2010
- The relationship between bankruptcy risk and growth for non-listed firms
UiS Working Papers in Economics and Finance, University of Stavanger View citations (1)
Also in Working Paper, Norges Bank (2010) View citations (1)
2009
- Mean reversion in profitability for non-listed firms
Working Paper, Norges Bank View citations (2)
2006
- Banks’ optimal implementation strategies for a risk sensitive regulatory capital rule: a real options and signalling approach
Working Paper, Norges Bank
Journal Articles
2012
- Mean Reversion in Profitability for Non†listed Firms
European Financial Management, 2012, 18, (5), 929-949
2009
- A real options approach for evaluating the implementation of a risk-sensitive capital rule in banks
Review of Financial Economics, 2009, 18, (3), 132-141 View citations (1)
Also in Review of Financial Economics, 2009, 18, (3), 132-141 (2009)
2002
- Investing without credible inter-period regulations: a bargaining approach with application to investments in natural resources
Energy Economics, 2002, 24, (3), 167-182
2001
- Country risk, country risk indices and valuation of FDI: a real options approach
Emerging Markets Review, 2001, 2, (3), 197-217 View citations (21)
Chapters
2005
- Monetary and financial stability in Norway: what can we learn from macroeconomic stress tests?
A chapter in Investigating the relationship between the financial and real economy, 2005, vol. 22, pp 409-30 View citations (7)
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