Archives - Page 2
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Banking and Finance Review
Vol. 3 No. 2 (2011)A Comprehensive Investigation of Fund Performance: a New Technique
George Woodward
An Economic Analysis of Protect Certificates - An Option-Pricing Approach
Rodrigo Hernandez, Jeffrey Jones, Jenny Gu
Miroslav Mateev, Yanko Anastaso
Chris Kuo
Contagion or Interdependence in Emerging Debt Markets?
Iuliana Ismailescu, Hossein Kazemi
Beta Uncertainty, Risk, and the Performance Characteristics of Hedge Funds
Pradosh Simlai
Value vs. Growth: Who Leads the Cyclical Stock Market?
Meng Li
Tracking Relevant Measures of Credit Creation in a Market-Based Financial System
Carolin Schellhorn
A Model of Domestic Banking Sector with Foreign Entrants
Lili Zhu
CEO Power, Equity Incentives, and Bank Risk Taking
Lisa Marie Victoravich, Pisun Xu, William Buslepp, Hugh Grove
Inaccurate Dependence Measures in Credit Models for Non-Normal Variables
Fernando Moreira