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- 2025
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Mark
Complexity and Choice under Risk
- Master (Two yrs)
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Mark
Inflation Regimes and Monetary Policy Shocks: A High-Frequency Investigation
- Master (Two yrs)
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Mark
Disaster Severity, Frequency, and Financial Market Volatility: Evidence from the European Insurance Sector and the Role of Solvency II
- Master (Two yrs)
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Mark
Turbulence Ahead? Stock Market Reactions to Aviation Accidents Worldwide
- Master (Two yrs)
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Mark
To what extent can differences in energy prices and digitalization explain why Europe has fallen behind the United States in economic growth in the 21st century?
- Master (Two yrs)
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Mark
How Cognitive Heterogeneity Drives Green Patents: Evidence from Chinese Firms
- Master (Two yrs)
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Mark
Carbon at the Gate: Evidence from the Transitional Phase of the EU’s CBAM
- Master (Two yrs)
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Mark
Comparative Evaluation of Structural Break Detection Methods in High-dimensional Time Series: A Simulation-Based Study with Financial Applications
- Master (Two yrs)
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Mark
Leveraged Buyouts and Financial Stability: The Impact of Private Equity Ownership during Turbulent Times - Evidence from a Difference-in-Differences Approach on Investment in Sweden
- Master (Two yrs)
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Mark
ESG Rating Disagreement and the Green Bond Premium: Evidence from the European Corporate Bond Market
- Master (Two yrs)