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- 2014
-
Mark
Asset Allocation in Different Macroeconomic Environments
(
- Master (Two yrs)
-
Mark
Predicting Corporate Defaults: Evaluating Moody's Credit Rating Institute
(
- Master (Two yrs)
-
Mark
An Empirical Evaluation of Pairs Trading in The Swedish Stock Market
(
- Master (Two yrs)
-
Mark
European Investor Currency Hedging: Forwards or Options in International Portfolios
(
- Master (Two yrs)
-
Mark
American Options on Commodities Under Stochastic Convenience Yield and Stochastic Volatility
(
- Master (Two yrs)
-
Mark
The Feasibility of Optimal Currency Area for ASEAN after adopting the ASEAN Economic Community Blueprint in 2008
(
- Master (Two yrs)
-
Mark
Asymmetry in the dynamic conditional correlation of gold returns and stock returns
(
- Master (Two yrs)
- 2013
-
Mark
The dynamic evolution of stock market integration between China, Japan and South Korea. What are the key determinants of regional stock market integration between these countries?
(
- Master (Two yrs)
-
Mark
The Effect of External Positions on FX Misalignments: A study of the G10 countries applying the Macroeconomic Balance Approach
(
- Master (Two yrs)
-
Mark
A Financial Crisis Study: How Fiscal And Monetary Policy Affects The Stock Market Returns Considering The Specific Counties
(
- Master (Two yrs)