Items where Subject is "N341 Financial Risk"

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Number of items at this level: 15.

G

Gray, David (2021) Medium-term cycles in affordability: what does the house price to income ratio indicate? National Accounting Review, 3 (2). pp. 204-217. ISSN 2689-3010

Gulko, Nadezda, Hyde, Catriona and Seppala, Nina (2017) Disclosure of corporate risks and governance before, during and after the global financial crisis: case study in the UK construction industry in 2006–2009. International Journal of Disclosure and Governance, 14 (3). pp. 207-223. ISSN 1741-3591

L

Le, Chau and David, Dickinson (2014) Asset price volatility and financial contagion: analysis using the MS-VAR framework. Eurasian Economic Review, 4 (2). pp. 133-162. ISSN 1309-422X

Le, Chau, Dickinson, David and Le, Anh (2022) Sovereign Risk Spillovers: A Network Approach. Journal of Financial Stability, 60 . ISSN 1572-3089

Le, Chau and Dickinson, David G. (2016) The Systemic Risk of Cross-Border Banking: Evidence from the Sudden Stop and Interbank Stress Contagion in East Asia. Emerging Markets Finance and Trade, 52 (1). pp. 237-254. ISSN 1540-496X

Locatelli, Giorgio and Mancini, Mauro (2010) Risk management in a mega-project: the Universal EXPO 2015 case. International Journal of Project Organisation and Management, 2 (3). pp. 236-253. ISSN 1740-2891

Locatelli, Giorgio and Mancini, Mauro (2011) The role of the reactor size for an investment in the nuclear sector: an evaluation of not-financial parameters. Progress in Nuclear Energy, 53 (2). pp. 212-222. ISSN 0149-1970

M

Manahov, Viktor and Zhang, Hanxiong (2019) Forecasting Financial Markets Using High-Frequency Trading Data: Examination with Strongly Typed Genetic Programming. International Journal of Electronic Commerce, 23 (1). pp. 12-32. ISSN 1086-4415

N

Northcott, Deryl and Alkaraan, Fadi (2007) Strategic Investment Appraisal. In: Issues in Management Accounting. PEARSON. ISBN ISBN13: 9780273702573

R

Ruuska, Inkeri, Ahola, Tuomas, Artto, Karlos, Locatelli, Giorgio and Mancini, Mauro (2011) A new governance approach for multi-firm projects: lessons from Olkiluoto 3 and Flamanville 3 nuclear power plant projects. International Journal of Project Management, 29 (6). pp. 647-660. ISSN 0263-7863

V

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 (2011) The properties of realized correlation. Contemporary Studies in Economic and Financial Analysis, 93 (93). pp. 645-667. ISSN 1569-3759

Vortelinos, Dimitrios (2010) The properties of realized correlation: evidence from the French, German and Greek equity markets. The Quarterly Review of Economics and Finance, 50 (3). pp. 273-290. ISSN 1062-9769

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 and Lakshmi, Geeta (2015) Market risk of BRIC Eurobonds in the financial crisis period. International Review of Economics and Finance, 39 . pp. 295-310. ISSN 1059-0560

This list was generated on Sun Jun 4 06:05:35 2023 BST.