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- 2013
-
Mark
A Financial Crisis Study: How Fiscal And Monetary Policy Affects The Stock Market Returns Considering The Specific Counties
(
- Master (Two yrs)
-
Mark
A COEXCEEDANCE APPROACH ON FINANCIAL CONTAGION
(
- Master (Two yrs)
- 2012
-
Mark
Behavioral Determinants of Stock Market Participation
(
- Master (Two yrs)
-
Mark
Applying the Black-Litterman Model on the Swedish Stock Market
(
- Master (Two yrs)
-
Mark
“To what extent are stock returns driven by mean and volatility spillover effects”?-Evidence from eight European stock markets
(
- Master (Two yrs)
-
Mark
Beyond the typical twin crises: an examination of banking and sovereign debt crises
(
- Master (Two yrs)
-
Mark
Portfolio optimization: The Downside risk framework versus the Mean-Variance framework
(
- Master (Two yrs)
-
Mark
Global Portfolio Allocation
(
- Master (Two yrs)
-
Mark
Expected Default Measures in the KMV model and the Market-based model
(
- Master (Two yrs)
-
Mark
Will Housing Prices Plague China’s Stock Market under Currency Appreciation?----A Study on the Interaction between Exchange Rates, Housing Prices and Stock Index in China
(
- Master (Two yrs)
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