Financial Markets and Portfolio Management, 1555-4961
Journal
1 - 2 out of 2Page size: 10
- 2013
- PublishedBank management of the net interest margin: New measuresMemmel, C. & Schertler, A., 2013, In: Financial Markets and Portfolio Management. 27, 3, p. 275-297 23 p.Research output: Journal contributions › Journal articles › Research › peer-review 
- 2015
- PublishedAre economically significant bond returns explained by corporate news? An examination of the German corporate bond marketJanner, S. & Schmidt, D., 08.2015, In: Financial Markets and Portfolio Management. 29, 3, p. 271-298 28 p., A004.Research output: Journal contributions › Journal articles › Research › peer-review 
