Items where Subject is "L Social studies > L111 Financial Economics"

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Boarin, Sara and Locatelli, Giorgio and Mancini, Mauro and Ricotti, E. Marco (2012) Financial case studies on small- and medium-size modular reactors. Nuclear technology, 178 (2). pp. 218-232. ISSN 0029-5450

Brünner, Tobias and Levínský, René and Qiu, Jianying (2011) Preferences for skewness: evidence from a binary choice experiment. The European Journal of Finance, 17 (7). pp. 525-538. ISSN 1351-847X

Floyd, David (2011) Assessing the ways to recovery from the global financial crisis. Business Strategy Series, 12 (6). pp. 321-324. ISSN 1751-5637

Gray, David (2012) Baltic states and the Euro: a spectral analysis of the 2007 financial crisis. International Journal of Managerial Finance, 8 (2). pp. 139-154. ISSN 1743-9132

Gray, David (2013) Capital market integration in a post crisis era: the case of India. Global Business and Economics Review, 15 (4). pp. 350-369. ISSN 1097-4954

Gray, David (2014) Central European foreign exchange markets: a cross-spectral analysis of the 2007 financial crisis. European Journal of Finance, 20 (6). pp. 550-567. ISSN 1351-847X

Gray, David (2009) Financial contagion among members of the EU-8: a cointegration and granger causality approach. International Journal of Emerging Markets, 4 (4). pp. 299-314. ISSN 1746-8809

Gray, David (2013) House price diffusion: an application of spectral analysis to the prices of Irish second-hand dwellings. Housing Studies, 28 (6). pp. 869-890. ISSN 0267-3037

Locatelli, G. and Littau, P. and Brookes, N. J. and Mancini, M. (2014) Project characteristics enabling the success of megaprojects: an empirical investigation in the energy sector. Procedia - Social and Behavioral Sciences, 119 . pp. 625-634. ISSN 1877-0428

Locatelli, Giorgio and Mancini, Mauro and Ishimwe, Alice (2014) How can system engineering improve supplier management in megaprojects? Procedia - Social and Behavioral Sciences, 119 . pp. 510-518. ISSN 1877-0428

Rizov, Marian (2004) Credit constraints and profitability: Evidence from a transition economy. Emerging Markets Finance and Trade, 40 (4). pp. 63-83. ISSN 1540–496X

Rizov, Marian (2004) Firm investment in transition: Evidence from Romanian manufacturing. Economics of Transition, 12 (4). pp. 721-746. ISSN 0967-0750

Strange, Gerard (2013) Understanding the fundamentals of capital, the crisis and the alternatives: Marx's legacy beyond revolutionary Marxism. The British Journal of Politics & International Relations, 15 (1). pp. 107-124. ISSN 1369-1481

Vortelinos, Dimitrios (2013) Portfolio analysis of intraday covariance matrix in the Greek equity market. Research in International Business and Finance, 27 (1). pp. 66-79. ISSN 0275-5319

Vortelinos, Dimitrios and Thomakos, Dimitrios D. (2012) Realized volatility and jumps in the Athens Stock Exchange. Applied Financial Economics, 22 (2). pp. 97-112. ISSN 0960-3107

Vortelinos, Dimitrios I. and Thomakos, Dimitrios D. (2013) Nonparametric realized volatility estimation in the international equity markets. International Review of Financial Analysis, 28 . pp. 34-45. ISSN 1057-5219

Zhang, Hanxiong and Manahov, Viktor and Hudson, Robert and Metcalf, Hugh (2015) Do house prices overreact to relevant information? New evidence from the UK housing market. Investment Management and Financial Innovations, 12 (3). pp. 26-39. ISSN 1810-4967

Book Section

Gray, David and McManus, John (2014) The commodity exporting country: a spectral analysis of Brazilian and Australian equity markets. In: Computational Models of Complex Systems. Intelligent Systems Reference Library (53). Springer Science and Business Media Deutschland GmbH, pp. 25-43. ISBN 9783319012841, 9783319012858

This list was generated on Tue Dec 1 01:32:14 2015 GMT.