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Modeling the Term Structure of Interest Rates: Where Do We Stand?

Interbank exposures: An empirical examination of systemic risk in the Belgian banking system

Firms' investment decisions in response to demand and price uncertainty

How frequently do prices change? Evidence based on the micro data underlying the Belgian CPI.

Financial consolidation and liquidity: prudential regulation and/or competition policy?

How does liquidity react to stress periods in a limit order market?

The determinants of pass-through of market conditions to bank retail interest rates in Belgium

Sectoral vs. country diversification benefits and downside risk

SMEs and bank lending relationships: the impact of mergers

Basel II and operational risk: Implications for risk measurement and management in the financial sector