Jens Forssbaeck
Docent, Programchef - Masterprogram i finans
Publikationer
Visar av publikationer. Sorterade efter år och sen titel.
How Can a Banking Union Make the EU More Resilient to Crises?
Jens Forssbaeck
(2022) Routes to a Resilient European Union , p.141-167
Del av eller Kapitel i bokTransparency and economic development
Jens Forssbæck
(2021) Cultures of Transparency : Between Promise and Peril , p.30-59
Del av eller Kapitel i bokKris i repris? Hur kan en bankunion göra EU mer motståndskraftigt?
Jens Forssbaeck
(2021) Vägar till ett uthålligt EU : Europaperspektiv 2021 , p.169-200
Del av eller Kapitel i bokDoes Collateral Reduce Loan-Size Credit Rationing? Survey Evidence
Alemu Tulu Chala, Jens Forssbaeck
(2018) Working Papers
Working paperTARP and Market Discipline: Evidence on the Moral Hazard Effects of Bank Recapitalizations
Jens Forssbaeck, Caren Yinxia Nielsen
(2016) Working Papers
Working paperThe Conditional Effects of Market Power on Bank Risk--Cross-Country Evidence
Jens Forssbaeck, Choudhry Tanveer Shehzad
(2015) Review of Finance, 19 p.1997-2038
Artikel i tidskriftThe Multifaceted Concept of Transparency
Jens Forssbaeck, Lars Oxelheim
(2015) The Oxford Handbook of Economic and Institutional Transparency , p.3-30
Del av eller Kapitel i bokOwnership structure, market discipline, and banks' risk-taking incentives under deposit insurance
Jens Forssbaeck
(2011) Journal of Banking & Finance, 35 p.2666-2678
Artikel i tidskriftCorporate financial determinants of foreign direct investment
Jens Forssbaeck, Lars Oxelheim
(2011) Quarterly Review of Economics and Finance, 51 p.269-282
Artikel i tidskriftFDI and the role of financial market quality
Jens Forssbaeck, Lars Oxelheim
(2011) The future of foreign direct investment
Del av eller Kapitel i bokDivergence of risk indicators and the conditions for market discipline in banking
Jens Forssbaeck
(2011) SUERF Studies
RapportWhat You See is What You Get: Contrasting Measures of Risk Exposure
Niclas Andrén, Jens Forssbaeck, Lars Oxelheim
(2010)
KonferensbidragFinance-specific factors as drivers of cross-border investment - An empirical investigation
Jens Forssbaeck, Lars Oxelheim
(2008) International Business Review, 17 p.630-641
Artikel i tidskriftFinance-specific Factors as Drivers of Cross-border Investment - An OLI perspective
Jens Forssbaeck, Lars Oxelheim
(2008)
Working paperFinancial factors and cross-border investments – An OLI perspective
Jens Forssbaeck, Lars Oxelheim
(2008)
KonferensbidragThe transition to market-based monetary policy: What can China learn from the European experience?
Jens Forssbaeck, Lars Oxelheim
(2007) Journal of Asian Economics, 18 p.257-283
Artikel i tidskriftThe interplay between money market development and monetary policy operations in small European countries
Jens Forssbaeck, Lars Oxelheim
(2007) Open Market Operations
BokOn the link between exchange-rate regimes, capital controls and monetary policy autonomy in small European countries, 1979-2000
Jens Forssbaeck, Lars Oxelheim
(2006) World Economy, 29 p.341-368
Artikel i tidskriftTransparency, Capital Formation, and Economic Growth
Jens Forssbaeck, Lars Oxelheim
(2006) Corporate and Institutional Transparency for Economic Growth in Europe
Del av eller Kapitel i bokFinancial Determinants of Foreign Direct Investment - Evidence from European Firms’ Cross-border Acquisitions
Jens Forssbaeck, Lars Oxelheim
(2006)
KonferensbidragThe transition to market-based monetary policy: What can China learn from the European experience
Jens Forssbaeck, Lars Oxelheim
(2006)
KonferensbidragThe interplay between money market development and changes in monetary policy operations in small European countries, 1980-2000
Jens Forssbaeck, Lars Oxelheim
(2006) Working Paper no. 669
Working paperMoney market development and changes in monetary policy operations in small European countries 1980 - 2000
Jens Forssbaeck, Lars Oxelheim
(2005)
KonferensbidragMoney Markets and Politics- A Study of European Financial Integration and Monetary Policy Options
Jens Forssbaeck, Lars Oxelheim
(2003)
Bok