The effects of climate change-related risks on banks: A literature review
Kuntz, L.-C., de Bandt O., Pankratz N., Pegoraro F., Solheim H., Sutton G., Takeyama A., Xia F. D.
The Regional Distribution of Foreign Investment in Russia. Are Russians more appealing to Multinationals as Consumers or Natural Resource Holders?
Gonchar K., Marek P.
Approximate Value-at-Risk Calculation for Heterogeneous Loan Portfolios: Possible Enhancements of Basel II Methodology
Puzanova N., Siddiqui S., Trede M.
Does country context distance determine subsidiary decision-making autonomy? Theory and evidence from European transition economies
de Jong G., Jindra B., Marek P., van Dut V.
Macroprudential Policies and Housing Prices: A New Database and Empirical Evidence for Central, Eastern, and Southeastern Europe
Vandenbussche J., Vogel U., Detragiache E.
Assessing Macro-Financial Linkages: A Model Comparison Exercise
Gerke R., Jonsson M., Kliem M., Kolasa M., Lafourcade P., Locarno A., Makarskic K., McAdam P.