9 results
Liquidating government debt and creating a secondary asset market: trading patterns, market behavior and prices on government liabilities in Sweden, c. 1719–1765
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- Financial History Review / Volume 30 / Issue 3 / December 2023
- Published online by Cambridge University Press:
- 04 April 2024, pp. 355-379
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The consolidation of public banking in Spain: from the 1970s crisis to the 2008 crisis
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- Financial History Review / Volume 30 / Issue 1 / April 2023
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- 08 June 2023, pp. 1-28
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Securities trading in an emerging market: Indonesia, 1890s–1940s
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- Financial History Review / Volume 29 / Issue 2 / August 2022
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- 06 September 2022, pp. 219-246
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The role of pawnshops in risk coping in early twentieth-century Japan
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- Financial History Review / Volume 28 / Issue 3 / December 2021
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- 14 July 2021, pp. 319-343
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Parish banking in informal credit markets: the business of private lending in early nineteenth-century Sweden
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- Financial History Review / Volume 24 / Issue 1 / April 2017
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- 02 May 2017, pp. 83-102
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Put-call parity, the triple contract, and approaches to usury in medieval contracting
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- Financial History Review / Volume 22 / Issue 2 / August 2015
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- 09 October 2015, pp. 205-233
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Annuitisation and cross-subsidies in a two-tiered retirement saving system
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- Annals of Actuarial Science / Volume 8 / Issue 2 / September 2014
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- 26 August 2014, pp. 234-252
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Insurance, size and exposure to actuarial risk: empirical evidence from nineteenth- and early twentieth-century German Knappschaften1
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- Financial History Review / Volume 19 / Issue 1 / April 2012
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- 26 September 2011, pp. 75-116
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The Regulation of Hedge Funds under the Prism of the Financial Crisis. Policy Implications
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- Recherches Économiques de Louvain/ Louvain Economic Review / Volume 75 / Issue 1 / March 2009
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- 17 August 2016, pp. 5-34
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- March 2009
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