Items where Division is "Finance and Accounting" and Year is 2008Number of items: 44. Alexander, C. (2008) Hedging the risk of energy futures portfolios. In: Geman, H. (ed.) Risk management in commodity markets: from shipping to agriculturals and energy. Wiley, pp. 117-127. ISBN 9780470694251 Alexander, C. (2008) Market risk analysis. Volume I. Quantitative methods in finance. Wiley, pp318. ISBN 9780470998007 Alexander, C. (2008) Market risk analysis. Volume II. Practical financial econometrics. Wiley, pp426. ISBN 9780470998014 Alexander, C. (2008) Market risk analysis. Volume III. Pricing, hedging and trading financial instruments. Wiley. ISBN 9780470997895 Alexander, C. and Sheedy, E., eds. (2008) The professional risk manager's guide to financial instruments. McGraw-Hill, pp400. ISBN 9780071546492 Alexander, C. and Sheedy, E., eds. (2008) The professional risk manager's guide to financial markets. McGraw-Hill. ISBN 9780071546485 Alexander, C. and Venkatramanan, A. (2008) Commodity options. In: Fabozzi, F. J., Füss, R. and Kaiser, D. G. (eds.) Handbook of commodity investing. Wiley, pp. 570-595. ISBN 9780470117644 Alexander, C. (2008) Moving average models for volatility and correlation and covarience matrices. In: Fabozzi, F. J. (ed.) Handbook of finance: valuation, financial modeling, and quantitative tools. Wiley, pp. 711-724. ISBN 9780470078167 Alexander, C. (2008) Statistical models of operational loss. In: Fabozzi, F. J. (ed.) Handbook of finance: valuation, financial modeling, and quantitative tools. Wiley, pp. 109-128. ISBN 9780470078167 Alexander, C. and Barbosa, A. (2008) Hedging index exchange traded funds. Journal of Banking & Finance, 32 (2). pp. 326-337. ISSN 0378-4266 doi: 10.1016/j.jbankfin.2007.03.012 Alexander, C. and Kaeck, A. (2008) Regime dependent determinants of credit default swap spreads. Journal of Banking & Finance, 32 (6). pp. 1008-1021. ISSN 0378-4266 doi: 10.1016/j.jbankfin.2007.08.002 Alexander, C. and Sheedy, E. (2008) Developing a stress testing framework based on market risk models. Journal of Banking & Finance, 32 (10). pp. 2220-2236. ISSN 0378-4266 doi: 10.1016/j.jbankfin.2007.12.041 Alexander, C. and Sheedy, E., eds. (2008) The professional risk manager's guide to finance theory and application. McGraw-Hill, pp400. ISBN 9780071546478 Alexandridis, G., Antoniou, A. and Zhao, H. (2008) Belief asymmetry and gains from acquisitions. Journal of Multinational Financial Management, 18 (5). pp. 443-460. ISSN 1042-444X doi: 10.1016/j.mulfin.2007.11.003 Andenas, M. and Alexander, K., eds. (2008) The World Trade Organisation and trade in services. Brill. ISBN 9789004162440 Andenas, M. and Zleptnig, S. (2008) Proportionality and balancing in WTO law: a comparative perspective. In: Alexander, K. and Andenas, M. (eds.) The World Trade Organisation and trade in services. Brill, pp. 147-171. ISBN 9789004162440
Badescu, A., Kulperger, R. and Lazar, E.
Bell, A. R.
Brooks, C.
Brooks, C.
Brooks, C. Chen, Z. and Daigler, R. T. (2008) An examination of the complementary volume–volatility information theories. The Journal of Futures Markets, 28 (10). pp. 963-992. ISSN 1096-9934 doi: 10.1002/fut.20344
Clements, M. P.
Clements, M. P.
Clements, M. P.
Clements, M. P.
Clements, M. P. Favato, G., (2008) Consortium strategy: stretching the limits of hostile takeovers. Working Paper. Social Science Research Network (SSRN) pp11. Favato, G., (2008) Relevance of real options to corporate investment decisions. Working Paper. Social Science Research Network (SSRN) pp20. Favato, G. and Print, C. (2008) Corporate finance decisions in volatile economic times. iUniverse. ISBN 9780595524136 Favato, G., Mariani, P., Print, C., Capone, A., Pelagatti, M., Pieri, V., Marcobelli, A., Tragni, E., Trotta, M.G., Zucchi, A. and Catapano, A.L., (2008) Knowledge-based governance can improve the elderly population's equity of access to public pharmaceutical funding: the ASSET (age/sex standardised estimates of treatment) research model. Working Paper. Social Science Research Network (SSRN) pp9. Favato, G., Print, C., Mills, R. and Weinstein, B., (2008) Estimating the direct costs of developing new drugs. Working Paper. Henley Management College, Henley on Thames. ISBN 9781861612933 Favato, G. (2008) Rilevanza delle variazioni demografiche di farmaco-utilizzazione per il governo della spesa farmaceutica pubblica. Giornale Italiano di Farmacoeconomia e Farmacoutilizzazione, 1 (2). pp. 22-28. ISSN 1974-4633 Favato, G. and Print, C. (2008) Real investment options: a case illustration. Management Online Review. pp. 1-12. ISSN 1996-3300 Favato, G., Mariani, P., Print, C., Capone, A., Pelagatti, M., Pieri, V., Marcobelli, A., Tragni, E., Trotta, M.G., Zucchi, A. and Catapano, A.L. (2008) Effetto dei fabbisogni terapeutici sesso ed età correlati sui costi di prescrizione nella medicina generale: Il modello di analisi ASSET (Age and sex standardised estimates of treatment). PharmacoEconomics - Italian Research Articles, 10 (2). pp. 89-98. ISSN 2035-6137 doi: 10.2165/00136178-200810020-00003
Kappou, K.
Kou, J. and Varotto, S.
Li, X., Miffre, J., Brooks, C. Mamarbachi, R., Day, M. and Favato, G., (2008) Art as an alternative investment asset. Working Paper. Social Science Research Network (SSRN) pp22. Pezier, J. (2008) Risk and risk aversion. In: Alexander, C. and Sheedy, E. (eds.) The professional risk manager's guide to finance theory and application. McGraw-Hill, pp. 7-53. ISBN 9780071546478 Pezier, J. and White, A. (2008) The relative merits of alternative investments in passive portfolios. The Journal of Alternative Investments, 10 (4). pp. 37-49. ISSN 1520-3255 doi: 10.3905/jai.2008.705531
Stenka, R.
Varotto, S.
Varotto, S. |