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                             15 results found
no title author magazine year volume issue page(s) type
1 Assessing the role of option grants to CEOs: How important is heterogeneity? Baranchuk, Nina
2008
15 2 p. 145-166
22 p.
article
2 Autoregressive stochastic volatility models with heavy-tailed distributions: A comparison with multifactor volatility models Asai, Manabu
2008
15 2 p. 332-341
10 p.
article
3 Contents 2008
15 2 p. OFC-
1 p.
article
4 Contents continued 2008
15 2 p. OBC-
1 p.
article
5 Does intraday technical analysis in the U.S. equity market have value? Marshall, Ben R.
2008
15 2 p. 199-210
12 p.
article
6 Does risk aversion drive financial crises? Testing the predictive power of empirical indicators Coudert, Virginie
2008
15 2 p. 167-184
18 p.
article
7 Do interventions in foreign exchange markets modify investors' expectations? The experience of Japan between 1992 and 2004 Morel, Christophe
2008
15 2 p. 211-231
21 p.
article
8 Editorial Board 2008
15 2 p. IFC-
1 p.
article
9 Estimation of an adaptive stock market model with heterogeneous agents Amilon, Henrik
2008
15 2 p. 342-362
21 p.
article
10 Finite sample accuracy and choice of sampling frequency in integrated volatility estimation Nielsen, Morten Ørregaard
2008
15 2 p. 265-286
22 p.
article
11 How does owners’ exposure to idiosyncratic risk influence the capital structure of private companies? Mueller, Elisabeth
2008
15 2 p. 185-198
14 p.
article
12 Increasing correlations or just fat tails? Campbell, Rachel A.J.
2008
15 2 p. 287-309
23 p.
article
13 Noise trading and the price formation process Berkman, Henk
2008
15 2 p. 232-250
19 p.
article
14 Simulation-based pricing of convertible bonds Ammann, Manuel
2008
15 2 p. 310-331
22 p.
article
15 The factor structure of time-varying conditional volume Chang, Eric C.
2008
15 2 p. 251-264
14 p.
article
                             15 results found
 
 Koninklijke Bibliotheek - National Library of the Netherlands