Financial Economics.
Overview
Works: | 282 works in 159 publications in 159 languages |
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Titles
E-financial strategies for advancing sustainable development = fostering financial inclusion and alleviating poverty /
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Venture capital and the corporate governance of Chinese listed companies = an institutional change viewpoint /
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Social bonds = an alternative form of investment to meet social needs /
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Dynamic stochastic general equilibrium models = real business cycles models : closed and open economy /
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Applied economic research and trends = 2023 International Conference on Applied Economics (ICOAE), Brno, Czech Republic, June 29-July 1, 2023 /
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On music, money and markets = comparing the finances of great composers /
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Mathematical research for blockchain economy = 4th International Conference MARBLE 2023, London, United Kingdom /
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Microfinance and China's regional development = the case of Luqiao /
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Anti-money laundering in a nutshell = awareness and compliance for financial personnel and business managers /
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Wall Street's assault on democracy = how financial markets exacerbate inequalities /
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Quantitative methods in finance = exploring the drivers of sustainable economic growth in the EU /
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Creating economic stability amid global uncertainty = post-pandemic recovery in Mexico's emerging economy /
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Hardwiring sustainability into financial mathematics = implications for money mechanics /
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Co-evolution of symbolic species in the financial market = a framework for economic and political decision-making /
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Contemporary discourse of halal and islamic entrepreneurship = trends and future opportunities /
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Reconsidering the privileged powers of banks = foundations of sovereign money, wealth and real capital for sustainability /
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The political economy of Chinese FDI and spillover effects in Africa
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Corporate financial resilience = empirical evidence from the United States /
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Financial risk management and climate change risk = the experience in a central bank /
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Wirtschafts- und Sozialkunde Teil 1 = Programmierte Aufgaben mit Lösungen /
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Investitionscontrolling: Entscheidungsfindung bei Investitionen I = Investitionscontrolling und Investitionstheorie /
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Microfinance to Combat Global Recession and Social Exclusion = An Empirical Investigation /
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Investitionscontrolling: Entscheidungsfindung bei Investitionen II = Entscheidungstheorie /
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Die Black-Scholes-Theorie = In 100 Schritten vom Münzwurf zum Wirtschaftsnobelpreis /
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Blind Spots in the Spotlight = National Bank of Romania's Answers to the Financial Crisis Aftershocks from the Perspective of Central Bankers, the Public and the Media /
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Bankwirtschaft, Rechnungswesen und Steuerung, Wirtschafts- und Sozialkunde = Prüfungswissen in Übersichten /
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Meldewesen für Finanzinstitute = Ein Handbuch für PraktikerInnen /
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Real and Financial Sectors in Post-Pandemic Central and Eastern Europe = The Impact of Economic, Monetary, and Fiscal Policy /
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Advanced REIT Portfolio Optimization = Innovative Tools for Risk Management /
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Capital Market Finance = An Introduction to Primitive Assets, Derivatives, Portfolio Management and Risk /
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Commodities as an Asset Class = Essays on Inflation, the Paradox of Gold and the Impact of Crypto /
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Beneficial Property Taxation for Emerging Market Countries = Addressing Climate Change and Post-Pandemic Recovery /
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Liquidity, Markets and Trading in Action = An Interdisciplinary Perspective /
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Abschlussprüfung Teil II = Vermögen aufbauen und Risiken absichern, Finanzierungsvorhaben begleiten, Wirtschafts- und Sozialkunde /
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Wirtschafts- und Sozialkunde Teil 2 = Fälle und offene Aufgaben mit Lösungen /
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From Centralised to Decentralising Global Economic Architecture = The Asian Perspective /
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The Economics of Banking and Finance in Africa = Developments in Africa’s Financial Systems /
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Wertpapierleihe und Repos = Überrenditen mit äquivalenten Instrumenten und ausgewählten Strategien /
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European Union and Monetary Union in Permanent Crisis II = Scenarios for the future of the euro /
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A Japanese Approach to Stages of Capitalist Development = What Comes Next? /
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Advances in Quantitative Economic Research = 2021 International Conference on Applied Economics (ICOAE), Heraklion Crete, Greece /
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Kapitalertragsteuer und Abgeltungsteuer verstehen = Besteuerung von Kapitalerträgen im Privatvermögen /
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Applied Corporate Finance = Making Value-Enhancing Decisions in the Real World /
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Repetitorium zur Investitionsrechnung = Systematisch üben, Lernziele erreichen /
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An Artificial Wicksell—Keynes Macroeconomy = Integrating Business Cycle and Cumulative Process /
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Continuous-Time Asset Pricing Theory = A Martingale-Based Approach /
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EU Accession : = Financial Sector Opportunities and Challenges for Southeast Europe
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Cost-of-capital in managerial finance = an examination of practices in the German real economy sector /
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Financial Risk Management with Bayesian Estimation of GARCH Models = Theory and Applications /
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Theory of Stochastic Differential Equations with Jumps and Applications = Mathematical and Analytical Techniques with Applications to Engineering /
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Real Options Valuation = The Importance of Interest Rate Modelling in Theory and Practice /
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International Finance in Emerging Markets = Issues, Welfare Economics Analyses and Policy Implications /
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Germany's role in the Euro crisis = Berlin's quest for a more perfect monetary union /
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European stock markets = the effects of European Union membership on Central and Eastern European countries /
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Accounting and Financial System Reform in a Transition Economy: A Case Study of Russia
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Housing finance in emerging markets = connecting low-income groups to markets /
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Agent-based approaches in economic and social complex systems VI = post-proceedings of The AESCS International Workshop 2009 /
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Financial market integration and growth = structural change and economic dynamics in the European Union /
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Individual Financial Planning for Retirement = Empirical Insights from the Affluent Segment in Germany /
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Pricing Interest-Rate Derivatives = A Fourier-Transform Based Approach /
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Agent-Based Modeling = The Santa Fe Institute Artificial Stock Market Model Revisited /
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Computational Methods in Financial Engineering = Essays in Honour of Manfred Gilli /
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Asset prices, booms and recessions = financial economics from a dynamic perspective /
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Mobilising capital for emerging markets = what can structured finance contribute? /
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Globalisation, Poverty and Conflict = A Critical "Development" Reader /
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Reputation capital = building and maintaining trust in the 21st century /
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Productivity, efficiency, and economic growth in the Asia-Pacific region
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Stochastic optimization methods in finance and energy = new financial products and energy market strategies /
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Neutral and indifference portfolio pricing, hedging and investing = with applications in equity and FX /
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The yield curve and financial risk premia = implications for monetary policy /
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Portfolio decision analysis = improved methods for resource allocation /
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Supply chain finance solutions = relevance - propositions - market value /
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Multifractal financial markets = an alternative approach to asset and risk management /
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Recession and its aftermath = adjustments in the United States, Australia, and the emerging Asia /
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Liquidity risk management in banks = economic and regulatory issues /
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Intelligent financial portfolio composition based on evolutionary computation strategies
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Private equity targets = strategies for growth, market barriers and policy implications /
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Risk management = how to assess, transfer and communicate critical risks /
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Ethical reflections on the financial crisis 2007/2008 = Making Use of Smith, Musgrave and Rajan /
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The global financial crisis = genesis, policy response and road ahead /
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Hometown investment trust funds = a stable way to supply risk capital /
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Financial management practices = an empirical study of Indian corporates /
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Greece's horizons = reflecting on the country's assets and capabilities /
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The water-food-energy nexus in the Mekong Region = assessing development strategies considering cross-sectoral and transboundary impacts /
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Corporate performance = a ratio-based approach to country and industry analyses /
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Basic technical analysis of financial markets = a modern approach /
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Copulae in mathematical and quantitative finance = proceedings of the Workshop Held in Cracow, 10-11 July 2012 /
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Human happiness and the pursuit of maximization = is more always better? /
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Functionals of multidimensional diffusions with applications to finance
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Pricing of bond options = unspanned stochastic volatility and random field models /
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Real estate investment trusts in Europe = evolution, regulation, and opportunities for growth /
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Portfolio analytics = an introduction to return and risk measurement /
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Microfinance 3.0 = reconciling sustainability with social outreach and responsible delivery /
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Community-based operations research = decision modeling for local impact and diverse populations /
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Financial markets efficiency and economic behaviour = evaluating Euro Area economies /
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Economic, environmental and health consequences of conservation capital = a global perspective /
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Monetary policy normalization = one hundred years after keynes' tract on monetary reform /
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Global, regional and local perspectives on the economies of Southeastern Europe = proceedings of the 14th International Conference on the Economies of the Balkan and Eastern European Countries (EBEEC) in Florence, Italy, 2022 /
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Risks and resilience of emerging economies = essays in honour of Professor Ajitava Raychaudhuri /
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Economic and financial market behaviour = the autopoietic market hypothesis /
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Islamic sustainable finance, law and innovation = opportunities and challenges /
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The politics of financial inclusion of women in South Africa = evolution and lessons /
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Foreign capital and economic growth in India = time series estimation /
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Foreign Exchange = Practical Asset Pricing and Macroeconomic Theory /
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Finance, Law, and the Crisis of COVID-19 = An Interdisciplinary Perspective /
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Abschlussprüfungen = Bankwirtschaft, Rechnungswesen und Steuerung, Wirtschafts- und Sozialkunde /
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Abschlussprüfung Teil I = Konten führen und Anschaffungen finanzieren /
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Sustainable Development in Asia = Socio-economic, Financial, and Economic Perspectives /
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Europäische Union und Währungsunion in der Dauerkrise II = Szenarien für die Zukunft des Euro /
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Financial Market Dynamics after COVID 19 = The Contagion Effect of the Pandemic in Finance /
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Eurasian Business and Economics Perspectives = Proceedings of the 35th Eurasia Business and Economics Society Conference /
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New Dynamics in Banking and Finance = 5th International Conference on Banking and Finance Perspectives, Famagusta, Cyprus /
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Revisiting the Indian Financial Sector = Recent Issues and Perspectives /
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Beyond Bitcoin = Economics of Digital Currencies and Blockchain Technologies /
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Central Bank Policy Mix: Issues, Challenges, and Policy Responses = Handbook of Central Banking Studies /
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Allgemeine Bankbetriebswirtschaft = Sicher durch die Zwischen- und Abschlussprüfung zum geprüften Bankfachwirt /
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Zum Einfluss von Krisen auf die Profitabilität von Banken in Deutschland
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Computation of Greeks Using the Discrete Malliavin Calculus and Binomial Tree
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Socioeconomic Dynamics of the COVID-19 Crisis = Global, Regional, and Local Perspectives /
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Studies in International Economics and Finance = Essays in Honour of Prof. Bandi Kamaiah /
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The New Bail-In Legislation = An Analysis of European Banking Resolution /
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Grundlagen des EU-Kartengeschäfts = Charakteristik und innovative Geschäftsmodelle von Digital Payments und Kartenzahlungen /
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Eurasian Business and Economics Perspectives = Proceedings of the 34th Eurasia Business and Economics Society Conference /
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Generalized Modigliani–Miller Theory = Applications in Corporate Finance, Investments, Taxation and Ratings /
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Off the Target = The Stagnating Political Economy of Europe and Post-Pandemic Recovery /
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Kostenrechnung im Studium = 100 Beispiele für eine erfolgreiche Prüfung /
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Aircraft Valuation in Volatile Market Conditions = Guiding Toward Profitability and Prosperity /
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Asset Pricing and Investment Styles in Digital Assets = A Comparison with Traditional Asset Classes /
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The Key Code and Advanced Handbook for the Governance and Supervision of Banks in Australia
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Econometric analysis of carbon markets = the European Union emissions trading scheme and the clean development mechanism /
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The financial systems of industrial countries = evidence from financial accounts /
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Functional instability or paradigm shift? = a characteristic study of Indian stock market in the first decade of the new millennium /
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Mathematical and statistical methods for actuarial sciences and finance
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Auctions in the electricity market = bidding when production capacity is constrained /
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Artificial economics and self organization = agent-based approaches to economics and social systems /
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Data you need to know about China = research report of China household finance survey 2012 /
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Recent advances in estimating nonlinear models = with applications in economics and finance /
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Asset price response to new information = the effects of conservatism bias and representativeness heuristic /
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Managerial issues in finance and banking = a strategic approach to competitiveness /
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Macro attractiveness and micro decisions in the mutual fund industry = an empirical analysis /
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Foreign direct investment in South Asia = policy, impact, determinants and challenges /
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Indian stock market = an empirical analysis of informational efficiency /
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Sustainability of Indian microfinance institutions = a mixed methods approach /
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Globalization of financial institutions = a competitive approach to finance and banking /
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Bank management and control = strategy, capital and risk management /
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Calibration and parameterization methods for the Libor market model
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Applied corporate finance = questions, problems and making decisions in the real world /
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German covered bonds = overview and risk analysis of pfandbriefe /
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Advances in non-linear economic modeling = theory and applications /
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Global cooperation among G20 countries = responding to the crisis and restoring growth /
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Currency speculation in fixed exchange rate regimes = theory and empirical evidence /
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China in global finance = domestic financial repression and international financial power /
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Market, regulations and finance = global meltdown and the Indian economy /
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A beta-return efficient portfolio optimisation following the CAPM = an analysis of international markets and sectors /
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China's monetary policy regulation and financial risk prevention = the study of effectiveness and appropriateness /
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New challenges in entrepreneurship and finance = examining the prospects for sustainable business development, performance, innovation, and economic growth /
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Economic and social development of the southern and eastern Mediterranean countries
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Financial communication in small and medium-sized enterprises = patents in financial communication /
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Dynamics of cross-border flow-performance relationships = the case of European equity (UCITS) funds /
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Bubbles, booms, and busts = the rise and fall of financial assets /
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Empirical economic and financial research = theory, methods and practice /
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A time series approach to option pricing = models, methods and empirical performances /
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Study guide for statistics for business and financial economics = a supplement to the textbook by Cheng-Few Lee, John C. Lee and Alice C. Lee /
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The ownership of the firm, corporate finance, and derivatives = some critical thinking /
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The principles of alternative investments management = a study of the global market /
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