12-111/IV - Can European Bank Bailouts work? Authors: Dirk Schoenmaker, Duisenberg School of Finance, VU University Amsterdam; Arjen Siegmann, VU University Amsterdam Date: October 24, 2012
12-107/IV - Banking and Trading Authors: Arnoud W.A. Boot, University of Amsterdam; Lev Ratnovski, IMF Date: October 11, 2012
12-106/IV - Convertible Bonds and Bank Risk-Taking Authors: Natalya Martynova, University of Amsterdam; Enrico Perotti, University of Amsterdam Date: October 09, 2012
12-102/IV - Corporate Social Responsibility, Negative Externalities, and Financial Risk: The Case of Climate Change Authors: Timo Busch, ETH Zuerich, and Duisenberg school of finance; Nils Lehmann, ETH Zuerich; Volker H. Hoffmann, ETH Zuerich Date: October 01, 2012
12-100/IV - Capital Gains Taxation and the Cost of Capital: Evidence from Unanticipated Cross-Border Transfers of Tax Bases Authors: Harry Huizinga, Tilburg University, and CEPR; Johannes Voget, University of Mannheim, Oxford University Centre for Business Taxation,CentER Tilburg University; Wolf Wagner, Tilburg University, Duisenberg School of Finance Date: September 27, 2012
12-094/IV - The Elimination of Broker Voting in Director Elections Authors: Ali Akyol, University of Melbourne; Konrad Raff, VU University Amsterdam; Patrick Verwijmeren, VU University Amsterdam, Duisenberg school of finance, and University of Glasgow Date: September 14, 2012
12-033/IV - Why is Price Discovery in Credit Default Swap Markets News-Specific? Authors: Ian W. Marsh, Cass Business School; Wolf Wagner, Tilburg University, and Duisenberg school of finance Date: April 02, 2012