• Tongersestraat53, TS53

    6211 LM Maastricht

    Netherlands

Research Output

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Chapter
2019

Microfinance as a Shakespearean Tragedy: The Creation of Shared Value, While Acting Responsibly

Hummels, H., 1 Mar 2019, Managing Sustainable Business: An Executive Education Case and Textbook. Lenssen, G. & Smith, C. (eds.). Dordrecht: Springer, p. 395-416 22 p.

Research output: Chapter in Book/Report/Conference proceedingChapterAcademic

2018

Utility-equivalence of pension security mechanisms

Broeders, D., Chen, A. & Schnorrenberg, B., 2018, Pension Fund Economics and Finance: Efficiency, Investments and Risk-Taking. Bikker, J. (ed.). Routledge/Taylor & Francis Group, p. 233-250 17 p. (Routledge International Studies in Money and Banking).

Research output: Chapter in Book/Report/Conference proceedingChapterAcademic

2017

Banking Competition and interest rate pass-through

Kleimeier, S. & Sander, H., 2017, Handbook of Competition in Banking and Finance. Bikker, J. A. & Spierdijk, L. (eds.). Cheltenham: Edward Elgar Publishing, p. 305-324

Research output: Chapter in Book/Report/Conference proceedingChapterAcademic

Competition, concentration and critical mass: why the Herfindahl–Hirschman Index is a biased competition measure

Bos, J. W. B., Chan, Y. L., Kolari, J. W. & Yuan, J., 2017, Handbook of Competition in Banking and Finance. Bikker, J. & Spierdijk, L. (eds.). Edward Elgar Publishing, p. 58-88 31 p.

Research output: Chapter in Book/Report/Conference proceedingChapterAcademic

2016

Aufsichtsrechtliche Kapitalanforderungen

Post, T., 2016, Solvency II - Eine Einführung: Grundlagen der neuen Versicherungsaufsicht. Gründl, H. & Kraft, M. (eds.). 2 ed. Karlsruhe: Verlag Versicherungswirtschaft, p. 48-58

Research output: Chapter in Book/Report/Conference proceedingChapterProfessional

Chapter 4: Financial Inclusion

de Haas, R., Qi, S. & Young, N., 2016, EBRD Transition Report 2016-17. London, UK: European Bank for Reconstruction and Development, Vol. 2016-2017. p. 60-78

Research output: Chapter in Book/Report/Conference proceedingChapterProfessional

Comparing Tail Risk and Systemic Risk Profiles for Different Types of US Financial Institutions

Straetmans, S. & Dinh, K., 2016, Extreme Events in Finance: a Handbook of Extreme Value Theory and Its Applications. Longin, F. (ed.). John Wiley & Sons, p. 357-390

Research output: Chapter in Book/Report/Conference proceedingChapterAcademic

Impact Investments. The emergence of a new beacon in investing

Hummels, H., 2016, Principles and Practice of Impact Investing: A Catalytic Revolution. Vecchi, V., Balbo, L., Brusoni, M. & Caselli, S. (eds.). Saltaire BD18 3LA, UK: Greenleaf Publishing, p. 1-25

Research output: Chapter in Book/Report/Conference proceedingChapterAcademic

Inzicht in Impact van Sociaal Ondernemerschap

Sol, L., Liket, K. & Maas, K., 2016, Sociaal Ondernemerschap: de beweging naar nieuwe hybride modellen voor een andere toekomst. Meijs, L. & de Ritter, M. (eds.). Stichting Maatschappij en Onderneming, p. ch. 6

Research output: Chapter in Book/Report/Conference proceedingChapterProfessional

Producing Innovations: Determinants of Innovativity and Efficiency

Bos, J., van Lamoen, R. C. R. & Sanders, M. W. J. L., 2016, Advances in Efficiency and Productivity. Aparicio, J., Knox Lovell, C. A. & Pastor, J. T. (eds.). Springer, Vol. 249. p. 227-248 (International Series in Operations Research & Management Science, Vol. 249).

Research output: Chapter in Book/Report/Conference proceedingChapterProfessional

Verschil moet er zijn: betere segmentatie door het combineren van databronnen

Eberhardt, W., Hoet, C., Brüggen, E. & Post, T., 2016, Jaarboek 2016: Ontwikkelingen in het Marktonderzoek. Bronner, A. E. (ed.). Haarlem: Spaar en Hout, p. 195-210 15 p. (Jaarboek 2016 Markt Onderzoek Associatie).

Research output: Chapter in Book/Report/Conference proceedingChapterProfessional

2015

Slimme winkelwagens: Hoe realtime bestedingsfeedback het winkelgedrag beïnvloedt

Van Ittersum, K., Wansink, B., Pennings, J. M. E. & Sheehan, D., 1 Jan 2015, Ontwikkelingen in het Marktonderzoek 2015, 40e Jaarboek MarktOnderzoekAssociatie. Bronner, A. E., Dekker, P., de Leeuw, E., Paas, L. J., de Ruyter, K., Smidts, A. & Wieringa, J. E. (eds.). Haarlem: Spaar en Hout, p. 95-107 12 p.

Research output: Chapter in Book/Report/Conference proceedingChapterAcademic

2014

The social function of asset classes in microfinance: Enhancing performance through donations, private equity, and debt

Hummels, G. J. A. & Millone, M. M., 1 Jan 2014, Microfinance Institutions: Financial and Social Performance. Mersland, R. & Oystein Strom, R. (eds.). Hampshire: Palgrave Macmillan, p. 162-186 320 p. (Palgrave Studies in Impact Finance).

Research output: Chapter in Book/Report/Conference proceedingChapterAcademic

2013

Evaluating portfolio performance: Reconciling asset selection and market timing

Cavé, A., Hübner, G. M. B. J. & Lejeune, T., 1 Jan 2013, Portfolio Theory and Management. Baker, H. K. & Filbeck, G. (eds.). Oxford University Press, p. 467-489 767 p.

Research output: Chapter in Book/Report/Conference proceedingChapterAcademic

Is there a link between past performance and fund failure?

Cogneau, P., Bodson, L. & Hübner, G. M. B. J., 1 Jan 2013, Understanding Investment Funds. Terraza, V. & Razafitombo, H. (eds.). England: Palgrave Macmillan, p. 9-36

Research output: Chapter in Book/Report/Conference proceedingChapterAcademic

Optimal size in banking: The role of off-balance sheet operations

Bos, J. W. B. & Kolari, J. W., 1 Jan 2013, Efficiency and Productivity Growth: Modelling in the Financial Services Industry. Pasiouras, F. (ed.). UK: John Wiley & Sons, p. 77-94 (Statistics in Practice Series).

Research output: Chapter in Book/Report/Conference proceedingChapterAcademic

1 Citation (Scopus)

Predicting funds of hedge funds attrition through performance diagnostics

Cogneau, P., Debatty, P. & Hübner, G. M. B. J., 1 Jan 2013, Reconsidering Funds of Hedge Funds. Gregoriou, G. N. (ed.). Elsevier, p. 163-181 19 p.

Research output: Chapter in Book/Report/Conference proceedingChapterAcademic

Private vormen van prijs- en inkomensstabilisatie

Pennings, J. M. E. & Oskam, A. J., 1 Jan 2013, EU-beleid voor Landbouw, Voedsel en Groen: van Politiek naar Praktijk. Meester, G., Berkhout, P. & Dries, L. (eds.). Wageningen: Wageningen Academic Publishers, p. 131-140 390 p.

Research output: Chapter in Book/Report/Conference proceedingChapterAcademic

2012

Real Estate and Policy

Eichholtz, P. M. A. & Kok, N., 1 Jan 2012, Socially Responsible Finance and Investing:Financial Institutions, Corporations, Investors, and Activists. Baker, H. K. & Nofsinger, J. R. (eds.). John Wiley & Sons, p. 213-237 24 p.

Research output: Chapter in Book/Report/Conference proceedingChapterAcademic

The Marketing Finance Interface: An Organizational Perspective

Pennings, J. M. E. & Verhoef, P., 1 Jan 2012, Handbook of Marketing and Finance. Ganesan, S. & Bharadwaj, S. (eds.). Cheltenham (UK): Edward Elgar Publishing, p. 225-243 19 p.

Research output: Chapter in Book/Report/Conference proceedingChapterAcademic

2 Citations (Scopus)
2010

Contributed Keywords

Post, T., 1 Jan 2010, Gabler Versicherungslexikon. Wagner, F. (ed.). Wiesbaden: Gabler Verlag, 3 p.

Research output: Chapter in Book/Report/Conference proceedingChapterAcademic

2008

Are market values fair?

Schotman, P. C., 1 Jan 2008, Frontiers in Pension Finance. Eijffinger, B. H. & S., D. A. C. F. J. (eds.). Cheltenham: Edward Elgar Publishing, p. 20-22 3 p.

Research output: Chapter in Book/Report/Conference proceedingChapterAcademic

2004

Evolution de la théorie du portefeuille et de la comptabilité

Corhay, A. H. R. F. & Vossaert, S., 1 Jan 2004, Regards croisés sur la formation quantitative des gestionnaires. Bair, J. & Henry, V. (eds.).

Research output: Chapter in Book/Report/Conference proceedingChapterAcademic

Huren op de Amsterdamse woningmarkt: bericht uit het verre verleden

Eichholtz, P. M. A., 1 Jan 2004, Kwantitatief bekeken. Kesenne, S. & Reyns, C. (eds.). Antwerpen: Garant

Research output: Chapter in Book/Report/Conference proceedingChapterAcademic

The performance of CTAs in changing market conditions

Hübner, G. M. B. J. & Papageorgiou, N., 1 Jan 2004, Commodity Trading Advisors. Risk, performance analysis, and selection. Gregoriou, G. N., Karavas, V. N., Lhabitant, F-S. & Rouah, F. (eds.). New York: Wiley & Sons, p. 105-128 23 p.

Research output: Chapter in Book/Report/Conference proceedingChapterAcademic

2003

A global perspective on extreme currency linkages

Straetmans, S. T. M., Hartmann, P. & de Vries, C., 1 Jan 2003, Asset price bubbles: Implications for monetary, regulatory and international policies. Hunter, W. C., Kaufmann, G. G. & Pomerleano, M. (eds.). Cambridge (MA), USA: MIT Press, p. 361-382 19 p.

Research output: Chapter in Book/Report/Conference proceedingChapterAcademic

Development path and capital structure of Belgian biotechnology firms

Bastin, V., Corhay, A. H. R. F., Hübner, G. M. B. J. & Michel, P., 1 Jan 2003, Firm's investment and finance decisions. Butzen, P. & Fuss, C. (eds.). Edward Elgar Publishing, p. 167-190 23 p.

Research output: Chapter in Book/Report/Conference proceedingChapterAcademic

European financial market integration: evidence on the emergence of a single eurozone retail banking market

Kleimeier, S. & Sander, H., 1 Jan 2003, Research in banking and finance. Hasan, I. & Hunter, W. C. (eds.). Amsterdam: Elsevier Science, p. 13-91 78 p.

Research output: Chapter in Book/Report/Conference proceedingChapterAcademic

Gérez la maturité

Hübner, G. M. B. J., 1 Jan 2003, Le gout d'entreprendre. Financement et Recherche. Aernoudt, R. (ed.). Brussel: Roularta, p. 47-52 6 p.

Research output: Chapter in Book/Report/Conference proceedingChapterAcademic

2002

Extreme Tails for Linear Portfolio Credit Risk Models

Straetmans, S. T. M., Lucas, A., Spreij, P. & Klaassen, P., 1 Jan 2002, Proceedings of the third Joint Central Bank Research Conf. on Risk Measurement and Systemic Risk. Basle: Bank for Intern. Settlements, p. 271-283

Research output: Chapter in Book/Report/Conference proceedingChapterAcademic

Iedereen een eigen huis

Eichholtz, P. M. A., 1 Jan 2002, Meesters van de welvaart. Topeconomen over Nederland. H. van Dalen & F. Kalshoven (eds.). Amsterdam: Balans, p. 55-66

Research output: Chapter in Book/Report/Conference proceedingChapterAcademic

Risk Budgeting bij pensioenfondsen in theorie en praktijk

Bauer, R. M. M. J. & Steenkamp, T. B. M., 1 Jan 2002, Pensioenwetenschap en management van pensioen; aandachtspunten voor de 21e eeuw. J.B. Kuné (ed.). Weert: St. Pensioenfonds ABP, p. 62-91 30 p.

Research output: Chapter in Book/Report/Conference proceedingChapterAcademic

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2001

Banking in Western Europe, the International Encyclopaedia of Business and Management

Kleimeier, S., 1 Jan 2001, The International Encyclopedia of Business and Management. London: Thomson Learning, p. 421-429

Research output: Chapter in Book/Report/Conference proceedingChapterAcademic