Issue #4 (Volume 3 2006)
Articles
10
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Behavioral Finance, Bounded Rationality, Neuro-Finance, and Traditional Finance
K.C. TsengInvestment Management and Financial Innovations Volume 3, 2006 Issue #4
Views: 1096 Downloads: 2048 TO CITE -
VaR, CVaR and Time Rules with Elliptical and Asymmetric Stable Distributed Returns
Fabio Lamantia , Sergio Ortobelli , Svetlozar RachevInvestment Management and Financial Innovations Volume 3, 2006 Issue #4
Views: 909 Downloads: 517 TO CITE -
Measuring the Effects of Lean Manufacturing Systems on Financial Accounting Metrics Using Data Envelopment Analysis
David T. Boyd , Larry A. Kronk , Sanithia C. BoydInvestment Management and Financial Innovations Volume 3, 2006 Issue #4
Views: 866 Downloads: 639 TO CITE -
Consistency of (Intertemporal) Beta Asset Pricing and Black-Scholes Option Valuation
Antje Henne , Peter ReichlingInvestment Management and Financial Innovations Volume 3, 2006 Issue #4
Views: 826 Downloads: 490 TO CITE -
A Review on Statistical and Probabilistic Models for the Control of Insurance Companies
Fabio Baione , Paolo De AngelisInvestment Management and Financial Innovations Volume 3, 2006 Issue #4
Views: 888 Downloads: 531 TO CITE -
The GATS Impact on Private Investors: Is it ‘Much Ado About Nothing'?
Laura J. Loppacher , William A. KerrInvestment Management and Financial Innovations Volume 3, 2006 Issue #4
Views: 916 Downloads: 540 TO CITE
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Macroeconomic Variables and Stock Market Interactions: New Zealand Evidence
Investment Management and Financial Innovations Volume 3, 2006 Issue #4
Views: 1202 Downloads: 787 TO CITE -
Cointegration and Dynamic Causal Links Amongst African Stock Markets
Charles K.D. Adjasi , Nicholas B. BiekpeInvestment Management and Financial Innovations Volume 3, 2006 Issue #4
Views: 892 Downloads: 500 TO CITE -
Threshold Autoregressive Modeling of Bond Series - Japanese Case
Jinghong LiInvestment Management and Financial Innovations Volume 3, 2006 Issue #4
Views: 784 Downloads: 571 TO CITE -
The Addition and Deletion Effects of the Standard & Poor's 500 Index and Its Dynamic Evolvement from 1990 to 2002: Demand Curves, Market Efficiency, Information, Volume and Return
Libo SuiInvestment Management and Financial Innovations Volume 3, 2006 Issue #4
Views: 832 Downloads: 1209 TO CITE
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