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Working Paper Series
From Hitotsubashi University Center for Financial Research Contact information at EDIRC. Bibliographic data for series maintained by Digital Resources Section, Hitotsubashi University Library (). Access Statistics for this working paper series.
Is something missing from the series or not right? See the RePEc data check for the archive and series.
- G-2-9: 株式分割を通じた名目株価の変化とリターンの共変動

- 明伸 柳樂
- G-2-8: 地域銀行のコーポレート・ガバナンスと業績

- 大 小西, Masaru Konishi, 巡友 齋藤, Junyu Saito and 婧 李
- G-2-7: 銀行企業間関係・格付け取得とレバレッジの調整速度

- 隆 吉田, 大 小西 and Masaru Konishi
- G-2-6: 情報の非対称性とレバレッジ

- 隆 吉田
- G-2-5: 2000年代における我が国上場企業のレバレッジの推移とマクロ経済環境

- 隆 吉田
- G-2-4: 基軸通貨ドル国際通貨体制下における地域通貨建て貿易決済, Local Currency Trade Settlement under the International Monetary System with the US Dollar as a Key Currency

- 英治 小川 and Eiji Ogawa
- G-2-3: 消費者から見た銀行窓販:サーベイ調査による窓販ユーザーの特性分析, WHAT KIND OF PEOPLE PURCHASE FINANCIAL PRODUCTS AT BANK ?: SURVEY ANALYSIS ON CHARACTERISTICS OF BANK USERS

- 隆則 近藤, 洋子 白須 and 隆司 三隅
- G-2-2: 銀行による保険窓販実績の決定要因に関する分析

- 英司 奥山, 大 小西, Masaru Konishi and 行宏 安田
- G-2-14: 信用金庫と地域経済の活性化

- 佳美 山田, 大 小西 and 郁子 左三川
- G-2-13_v2: 内部情報の質と企業の投資行動, Internal information quality and corporate investment

- 涼佑 藤谷
- G-2-13: 企業の内部情報システムの質と企業の投資行動
- 涼佑 藤谷
- G-2-12: 日本個人投資家のリスク性資産への投資行動: 金融リテラシーの種類や情報源の違いはどんな影響を与えるのか?

- 菊馨 顔, 隆則 近藤, 洋子 白須 and 隆司 三隅
- G-2-11: 銀行・企業間関係及び格付け取得とレバレッジの調整速度

- 隆 吉田, 大 小西 and Masaru Konishi
- G-2-10: 企業間信用が株式リターンの予測可能性に与える影響

- 明伸 柳樂, 行宏 安田 and Yukihiro Yasuda
- G-2-1: コーポレート・ガバナンスと多角化行動: 日本企業の子会社データを用いた実証分析

- 正晴 花崎, Masaharu Hanazaki, 佳菜子 松下 and Kanako Matsushita
- G-1-9: Predicting Interest Rate Volatility: Using Information on the Yield Curve

- Hideyuki Takamizawa and 秀幸 髙見澤
- G-1-8: How Did the Global Financial Crisis Misalign East Asian Currencies?

- Eiji Ogawa, 英治 小川 and Zhiqian Wang
- G-1-7: Moral-Hazard Premium

- Takashi Misumi, 隆司 三隅, Hisashi Nakamura, 恒 中村, Koichiro Takaoka and 浩一郎 高岡
- G-1-6: Capital requirements, bank behavior and fair value accounting: Evidence from Japanese commercial banks

- Karen Lai Kai Lin and Masaru Konishi
- G-1-5: Impact of No-arbitrage on Interest Rate Dynamics

- Hideyuki Takamizawa and 秀幸 高見澤
- G-1-4: Optimal Risk Sharing in the Presence of Moral Hazard under Market Risk and Jump Risk

- Takashi Misumi, 隆司 三隅, Hisashi Nakamura, 恒 中村, Koichiro Takaoka and 浩一郎 髙岡
- G-1-3: Predicting Interest Rate Volatility: Using Information on the Yield Curve

- Hideyuki Takamizawa and 秀幸 髙見澤
- G-1-27: Do firms consider stakeholder interests as a means to create shareholder value or as the ultimate goal? Evidence from Japanese dividend policies

- Masaru Konishi, 大 小西 and Junyu Saito
- G-1-26: Global Risk and Safe Haven Currency: Copula-DCC Approach

- Masao Kumamoto, 方雄 熊本 and Juanjuan Zhuo
- G-1-24: Earnings Management and Stock Market Listing

- Hyonok Kim, Yukihiro Yasuda and 行宏 安田
- G-1-23: Internal and External Lending by Nonfinancial Businesses

- Hyonok Kim, James A. Wilcox, Yukihiro Yasuda and 行宏 安田
- G-1-21: Under pressure: listing status and disinvestment in Japan

- Joseph French, Ryosuke Fujitani, Yukihiro Yasuda and 行宏 安田
- G-1-20: The Prewar Financial System and the Dynamics of Corporate Financing

- Masaru Konishi, 大 小西 and Takashi Yoshida
- G-1-19: An Equilibrium Model of Term Structures of Bonds and Equities

- Hideyuki Takamizawa and 秀幸 高見澤
- G-1-18: A Term Structure Model of Interest Rates with Quadratic Volatility

- Hideyuki Takamizawa and 秀幸 高見澤
- G-1-17: Some Asymptotic Results for the Yard-Sale Model of Asset Exchange

- Kenta Kobayashi, 健太 小林, Koichiro Takaoka and 浩一郎 高岡
- G-1-16: Shocks and Shock Absorbers in Japanese Bonds and Banks During the Global Financial Crisis

- Hyonok Kim, James A. Wilcox, Yukihiro Yasuda and 行宏 安田
- G-1-15: Relationships matter: The impact of bank-firm relationships on mergers and acquisitions in Japan

- Joseph French, Juxin Yan, Yukihiro Yasuda and 行宏 安田
- G-1-14: Mandatory adoption of business risk disclosure: evidence from Japanese firms

- Hyonok Kim, Yukihiro Yasuda and 行宏 安田
- G-1-13: A new approach to identify the economic effects of disclosure: Information content of business risk disclosures in Japanese firms

- Hyonok Kim, Yukihiro Yasuda and 行宏 安田
- G-1-12: Bank Diversification into the Insurance Business: The Effects of the Deregulation of the Bank-Sales Channel at Japanese Banks

- Masaru Konishi, 大 小西, Eiji Okuyama, Yukihiro Yasuda and 行宏 安田
- G-1-11: Rollover and Capital Adequacy Requirements

- Yukihiro Yasuda and 行宏 安田
- G-1-10: Impacts of Deregulation on Property and Casualty Insurers' Pricing and Risk Taking: Empirical Evidence in Japan

- Yukihiro Yasuda and 行宏 安田
- G-1-1: Equity Investment Regulation and Bank Risk: Evidence from Japanese Commercial Banks

- Masaru Konishi and 大 小西
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