Finance/Investment/Banking.
Overview
Works: | 167 works in 160 publications in 160 languages |
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Titles
The Basel II risk parametersestimation, validation, stress testing - with applications to loan risk management /
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(Electronic resources)
Assessing the economic value of venture capital contractsan option pricing approach /
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(Electronic resources)
Does carbon-conscious behavior drive firm performance?an event study on the Global 500 companies /
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(Electronic resources)
Asset prices, booms and recessionsfinancial economics from a dynamic perspective /
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(Electronic resources)
Mobilising capital for emerging marketswhat can structured finance contribute? /
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(Electronic resources)
Institutional learning and knowledge transfer across epistemic communitiesnew tools of global governance /
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(Electronic resources)
Hedge funds and financial marketsan asset management and corporate governance perspective /
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(Electronic resources)
The financial systems of industrial countriesevidence from financial accounts /
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(Electronic resources)
Practical applications of evolutionary computation to financial engineeringrobust techniques for forecasting, trading and hedging /
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(Electronic resources)
Determinants of earnings forecast error, earnings forecast revision and earnings forecast accuracy
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(Electronic resources)
Implicit embedded options in life insurance contractsa market consistent valuation framework /
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(Electronic resources)
Small businesses in the aftermath of the crisisinternational analyses and policies /
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(Electronic resources)
Taxation of hybrid financial instruments and the remuneration derived therefrom in an international and cross-border contextissues and options for reform /
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(Electronic resources)
Corporate governance, capital markets, and capital budgetingan integrated approach /
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(Electronic resources)
Quantitative energy financemodeling, pricing, and hedging in energy and commodity markets /
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(Electronic resources)
Accounting information and equity valuationtheory, evidence, and applications /
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(Electronic resources)
Innovation and marketing in the pharmaceutical industryemerging practices, research, and policies /
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(Electronic resources)
Asset price response to new informationthe effects of conservatism bias and representativeness heuristic /
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(Electronic resources)
Managerial issues in finance and bankinga strategic approach to competitiveness /
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(Electronic resources)
Macro attractiveness and micro decisions in the mutual fund industryan empirical analysis /
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(Electronic resources)
Decision-making in private equity firmsan empirical study of determinants and rules /
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(Electronic resources)
Foreign direct investment in South Asiapolicy, impact, determinants and challenges /
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(Electronic resources)
Sustainability of Indian microfinance institutionsa mixed methods approach /
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(Electronic resources)
Accounting and regulationnew insights on governance, markets and institutions /
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(Electronic resources)
Globalization of financial institutionsa competitive approach to finance and banking /
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(Electronic resources)
Applied corporate financequestions, problems and making decisions in the real world /
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(Electronic resources)
Confirming dividend changes and the non-monotonic investor revision of earnings persistence
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(Electronic resources)
Collateralized debt obligationsa moment matching pricing technique based on Copula functions /
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(Electronic resources)
Integrated risk management of non-maturing accountspractical application and testing of a dynamic replication model /
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(Electronic resources)
Compliance management in financial industriesa model-based business process and reporting perspective /
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(Electronic resources)
China in global financedomestic financial repression and international financial power /
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(Electronic resources)
Analytical issues in trade, development and financeessays in honour of Biswajit Chatterjee /
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(Electronic resources)
Hidden Markov models in financefurther developments and applications.Volume II /
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(Electronic resources)
Regulating the takeover of Chinese listed companiesdivergence from the West /
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(Electronic resources)
Market microstructure and nonlinear dynamicskeeping financial crisis in context /
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(Electronic resources)
Nonlinear economic dynamics and financial modellingessays in honour of Carl Chiarella /
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(Electronic resources)
Alternative investments in wealth managementa comprehensive study of the Central and East European market /
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(Electronic resources)
EU competition law, the consumer interest and data protectionthe exchange of consumer information in the retail financial sector /
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(Electronic resources)
Leveraging flexibilitywin the race with dynamic decision management /
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(Language materials, printed)
Proceedings of the International Conference on Science, Technology and Social Sciences (ICSTSS) 2012
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(Electronic resources)
A beta-return efficient portfolio optimisation following the CAPMan analysis of international markets and sectors /
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(Electronic resources)
Real estate investingmarket analysis, valuation techniques, and risk management /
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(Electronic resources)
Real options valuationthe importance of stochastic process choice in commodity price modelling /
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(Electronic resources)
Interfirm relationships and trade credit in Japanevidence from micro-data /
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(Electronic resources)
New challenges in entrepreneurship and financeexamining the prospects for sustainable business development, performance, innovation, and economic growth /
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(Electronic resources)
Applied asset and risk managementa guide to modern portfolio management and behavior-driven markets /
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(Electronic resources)
Financial communication in small and medium-sized enterprisespatents in financial communication /
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(Electronic resources)
Dynamics of cross-border flow-performance relationshipsthe case of European equity (UCITS) funds /
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(Electronic resources)
Socially responsible investmenta multi-criteria decision making approach /
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(Electronic resources)
Promoting information in the marketplace for financial servicesfinancial market regulation and international standards /
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(Electronic resources)
A time series approach to option pricingmodels, methods and empirical performances /
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(Electronic resources)
Managing elevated riskglobal liquidity, capital flows, and macroprudential policy-- An Asian perspective /
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(Electronic resources)
The ownership of the firm, corporate finance, and derivativessome critical thinking /
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(Electronic resources)
The causal relationship between the S&P 500 and the VIX Indexcritical analysis of financial market volatility and its predictability /
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(Electronic resources)
Fixed-income portfolio analyticsa practical guide to implementing, monitoring and understanding fixed-income portfolios /
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(Electronic resources)
Financial accounting and management controlthe tensions and conflicts between uniformity and uniqueness /
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(Electronic resources)
Cost-of-capital in managerial financean examination of practices in the German real economy sector /
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(Electronic resources)
Valuing the innovation potentials of firmswhat theory suggests, practitioners do, and both implies for existing theory /
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(Electronic resources)
Decentralized solutions for developing economiesaddressing energy poverty through innovation /
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(Electronic resources)
Investing into North African solar powera legal framework for risk management and prospects for arbitration /
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(Electronic resources)
Social identity and financial investment decisionsempirical insights on German-Turks /
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(Electronic resources)
Innovation, finance, and the economyproceedings of the 13th Eurasia Business and Economics Society Conference /
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(Electronic resources)
Responsible investment bankingrisk management frameworks, sustainable financial innovation and softlaw standards /
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(Electronic resources)
Financial accountingdevelopment paths and alignment to management accounting in the Italian context /
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(Electronic resources)
Islamic perspectives relating to business, arts, culture and communicationproceedings of the 1st ICIBACC 2014 /
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(Electronic resources)
Self-help, private debt collection and the concomitant risksa comparative law analysis /
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(Electronic resources)
The principles of alternative investments managementa study of the global market /
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(Electronic resources)
Customer value generation in bankingthe Zurich model of customer-centricity /
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(Electronic resources)
Chronic regulatory focus and financial decision-makingasset and portfolio allocation /
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(Electronic resources)
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