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                             26 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 Adjusting MV-efficient portfolio frontier bias for skewed and non-mesokurtic returns Huang, Hung-Hsi
2014
29 C p. 59-83
25 p.
artikel
2 Country and industry convergence of equity markets: International evidence from club convergence and clustering Apergis, Nicholas
2014
29 C p. 36-58
23 p.
artikel
3 Detecting predictable non-linear dynamics in Dow Jones Islamic Market and Dow Jones Industrial Average indices using nonparametric regressions Álvarez-Díaz, Marcos
2014
29 C p. 22-35
14 p.
artikel
4 Do stock markets discipline US Bank Holding Companies: Just monitoring, or also influencing? Baele, Lieven
2014
29 C p. 124-145
22 p.
artikel
5 Frontier stock market integration and the global financial crisis Chen, Mei-Ping
2014
29 C p. 84-103
20 p.
artikel
6 Global imbalances and dynamics of international financial markets Hammoudeh, Shawkat
2014
29 C p. 301-305
5 p.
artikel
7 Globalisation and monetary policy—A FAVAR analysis for the G7 and the eurozone Belke, Ansgar
2014
29 C p. 306-321
16 p.
artikel
8 How important can bank lending shocks be for economic fluctuations? Halvorsen, Jørn I.
2014
29 C p. 104-123
20 p.
artikel
9 IFC (Editorial Board) 2014
29 C p. IFC-
1 p.
artikel
10 Islamic equity market integration and volatility spillover between emerging and US stock markets Majdoub, Jihed
2014
29 C p. 452-470
19 p.
artikel
11 Linkages between emerging and developed equity markets: Empirical evidence in the PMG framework Boubaker, Sabri
2014
29 C p. 322-335
14 p.
artikel
12 Modelling and forecasting value at risk and expected shortfall for GCC stock markets: Do long memory, structural breaks, asymmetry, and fat-tails matter? Aloui, Chaker
2014
29 C p. 349-380
32 p.
artikel
13 Nonlinear causality testing with stepwise multivariate filtering: Evidence from stock and currency markets Bekiros, Stelios
2014
29 C p. 336-348
13 p.
artikel
14 Probability of multiple crossings and pricing of double barrier options Choe, Geon Ho
2014
29 C p. 156-184
29 p.
artikel
15 Public and private sector jobs, unreported income and consumption gap in India: Evidence from micro-data Saha, Sarani
2014
29 C p. 285-300
16 p.
artikel
16 Risk management in life insurance companies: Evidence from Taiwan Hu, Jin-Li
2014
29 C p. 185-199
15 p.
artikel
17 Statistics of extreme events in risk management: The impact of the subprime and global financial crisis on the German stock market Herrera, Rodrigo
2014
29 C p. 218-238
21 p.
artikel
18 The asymmetric predictability of high-yield bonds Zhang, Tai-Wei
2014
29 C p. 146-155
10 p.
artikel
19 The Cox, Ross and Rubinstein tree model which includes counterparty credit risk and funding costs Hunzinger, Chadd B.
2014
29 C p. 200-217
18 p.
artikel
20 The deterministic shift extension and the affine dynamic Nelson–Siegel model Dang-Nguyen, Stéphane
2014
29 C p. 402-417
16 p.
artikel
21 The impact of China on stock returns and volatility in the Taiwan tourism industry Chang, Chia-Lin
2014
29 C p. 381-401
21 p.
artikel
22 The linkage between insurance activity and banking credit: Some evidence from dynamic analysis Liu, Guanchun
2014
29 C p. 239-265
27 p.
artikel
23 The small open macroeconomy and the yield curve: A state-space representation Lange, Ronald H.
2014
29 C p. 1-21
21 p.
artikel
24 The symmetrical and positive relationship between crude oil and nominal exchange rate returns Chang, Kuang-Liang
2014
29 C p. 266-284
19 p.
artikel
25 Trends in international commodity prices: Panel unit root analysis Nazlioglu, Saban
2014
29 C p. 441-451
11 p.
artikel
26 What drives herding in oil-rich, developing stock markets? Relative roles of own volatility and global factors Balcilar, Mehmet
2014
29 C p. 418-440
23 p.
artikel
                             26 gevonden resultaten
 
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