Real estate valuation, current account and credit growth patterns, before and after the 2008–9 crisis ☆
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On the cyclicality of default rates of banks: A comparative study of the asset correlation and diversification effects
Growth of industrial CO2 emissions in Shanghai city: Evidence from a dynamic vector autoregression analysis
Gentrification, suburban decline, and the financialization of multi-family rental housing: The case of Toronto
Investment decision for coastal urban development projects considering the impact of climate change: Case study of the Great Garuda Project in Indonesia
International money supply and real estate risk premium: The case of the London office market
Fundamentals and the volatility of real estate prices in China: A sequential modelling strategy
Optimal life cycle mortgage and portfolio choices in the presence of the affordability constraint
Pricing and simulation for real estate index options: Radial basis point interpolation
Green label signals in an emerging real estate market. A case study of Sao Paulo, Brazil
The (dis)advantages of clearinghouses before the Fed
Financing eco cities and low carbon cities: The case of Shenzhen International Low Carbon City
Why the market value of residential premises and the costs of its purchase differ: The examples of Belarus and Poland
Pricing real estate index options by compactly supported radial-polynomial basis point interpolation
Time-varying diversification strategies: The roles of state-level housing assets in optimal portfolios
Understanding the impact of severe hyperinflation experience on current household investment behavior
Network features of sector indexes spillover effects in China: A multi-scale view
Risk- and value-based management for non-life insurers under solvency constraints
Socioeconomic and racial disparities in the financial returns to homeownership
Dynamics of international spillovers and interaction: Evidence from financial market stress and economic policy uncertainty
Characterizing the relationship between road infrastructure and local economy using structural equation modeling
A comprehensive view on risk reporting: Evidence from supervisory data
Financial literacy and participation in the derivatives markets
Reprint of: Assessing the effects of unconventional monetary policy and low interest rates on pension fund risk incentives
Shadow banking in Asia: Foreign versus domestic lending to real estate projects
Financial development, financial constraint, and firm investment: Evidence from Thailand
Diversified Investments of Wealthy Ethiopian Pastoralists Include Livestock and Urban Assets That Better Manage Risk
Instrumental exploitation: Predatory property relations at cityâs end
Predicting failure in the U.S. banking sector: An extreme gradient boosting approach
Energy retrofit alternatives and cost-optimal analysis for large public housing stocks
Revitalisation of Downtown Khedive Cairo: A contested sovereignty
How big is Chinas real estate bubble and why hasnt it burst yet?
Assessing the effects of adding timberland and farmland into resource-based Sovereign Wealth Fund portfolios
Real estate, banking and war: The construction and reconstructions of Beirut
The making of urban financialization? An exploration of brazilian urban partnership operations with building certificates
Capital liberalization and various financial markets: Evidence from Taiwan
The impact of oil shocks on the housing market: Evidence from Canada and U.S
Nonperforming loans in the GCC banking sectors: Does the Islamic finance matter?
Explosive rents: The real estate market dynamics in exuberance
Cyclical co-movements of private real estate, public real estate and equity markets: A cross-continental spectrum
Who acquires whom among stand-alone commercial banks and bank holding company affiliates?
Pricing real estate index options under stochastic interest rates
Sustainable market valuation of buildings by the single-valued neutrosophic MAMVA method
Optimal real estate capital durability and localized climate change disaster risk
Access to bank financing and the collateral channel: The case of Tunisian firms before and after the revolution
Financialization as strategy: Accounting for inter-organizational value creation in the European real estate industry
Assessing targeted macroprudential financial regulation: The case of the 2006 commercial real estate guidance for banks
A green winner's curse? Investor behavior in the market for eco-certified office buildings
Return expectations and risk aversion heterogeneity in household portfolios
Disaggregated property price appreciation: The mixed repeat sales model
Uneven development, urbanization and production of space in the middle-scale region based on the case of Jiangsu province, China
A Multi-criteria Framework for Decision Process in Retrofit Optioneering through Interactive Data Flow
Sector-specific analysis of non-performing loans in the US banking system and their macroeconomic impact
What has happened in Spain? The real estate bubble, corruption and housing development: A view from the local level
Housing boom, real estate diversification, and capital structure: Evidence from China
Chinese consumers' brand personality perceptions of tourism real estate firms
How strong are the linkages between real estate and other sectors in China?
Designing and implementing a real estate appraisal system: The case of Québec Province, Canada
Impact of electronic road pricing on real estate prices in Singapore ☆
Intermediated investment management in private markets: Evidence from pension fund investments in real estate ☆
Valuing Direct Real Estate Investments by Using the ADAM Modelling Approach ☆
Real estate collateral value and investment: The case of China