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Volume 29; Issue 12
Main
Journal of Banking & Finance
Volume 29; Issue 12
Journal of Banking & Finance
Volume 29; Issue 12
1
Comment on “Optimal portfolio selection in a value-at-risk framework”
Hung-Hsi Huang
Journal:
Journal of Banking & Finance
Year:
2005
Language:
english
File:
PDF, 97 KB
Your tags:
english, 2005
2
Portfolio preferences of foreign institutional investors
Reena Aggarwal
,
Leora Klapper
,
Peter D. Wysocki
Journal:
Journal of Banking & Finance
Year:
2005
Language:
english
File:
PDF, 221 KB
Your tags:
english, 2005
3
Modeling time series information into option prices: An empirical evaluation of statistical projection and GARCH option pricing model
An-Sing Chen
,
Mark T. Leung
Journal:
Journal of Banking & Finance
Year:
2005
Language:
english
File:
PDF, 221 KB
Your tags:
english, 2005
4
Are structured products ‘fairly’ priced? An analysis of the German market for equity-linked instruments
Pavel A. Stoimenov
,
Sascha Wilkens
Journal:
Journal of Banking & Finance
Year:
2005
Language:
english
File:
PDF, 354 KB
Your tags:
english, 2005
5
An examination of alternative CAPM-based models in UK stock returns
Jonathan Fletcher
,
Joseph Kihanda
Journal:
Journal of Banking & Finance
Year:
2005
Language:
english
File:
PDF, 200 KB
Your tags:
english, 2005
6
Industry aspects of takeovers and divestitures: Evidence from the UK
Ronan Powell
,
Alfred Yawson
Journal:
Journal of Banking & Finance
Year:
2005
Language:
english
File:
PDF, 218 KB
Your tags:
english, 2005
7
Capital market equilibrium with externalities, production and heterogeneous agents
Andrea Beltratti
Journal:
Journal of Banking & Finance
Year:
2005
Language:
english
File:
PDF, 142 KB
Your tags:
english, 2005
8
The dynamics of dealer markets and trading costs
Kee H. Chung
,
Youngsoo Kim
Journal:
Journal of Banking & Finance
Year:
2005
Language:
english
File:
PDF, 176 KB
Your tags:
english, 2005
9
Sources of liquidity for NYSE-listed non-US stocks
Jeffrey M. Bacidore
,
Robert Battalio
,
Neal Galpin
,
Robert Jennings
Journal:
Journal of Banking & Finance
Year:
2005
Language:
english
File:
PDF, 202 KB
Your tags:
english, 2005
10
How should Central Banks determine and control their bank note inventory?
Nadia Massoud
Journal:
Journal of Banking & Finance
Year:
2005
Language:
english
File:
PDF, 209 KB
Your tags:
english, 2005
11
Empirical credit cycles and capital buffer formation
Siem Jan Koopman
,
André Lucas
,
Pieter Klaassen
Journal:
Journal of Banking & Finance
Year:
2005
Language:
english
File:
PDF, 257 KB
Your tags:
english, 2005
12
Capital requirements and business cycle regimes: Forward-looking modelling of default probabilities
Chiara Pederzoli
,
Costanza Torricelli
Journal:
Journal of Banking & Finance
Year:
2005
Language:
english
File:
PDF, 211 KB
Your tags:
english, 2005
13
On the importance of systematic risk factors in explaining the cross-section of corporate bond yield spreads
Tao-Hsien Dolly King
,
Kenneth Khang
Journal:
Journal of Banking & Finance
Year:
2005
Language:
english
File:
PDF, 158 KB
Your tags:
english, 2005
14
Editorial Board
Journal:
Journal of Banking & Finance
Year:
2005
Language:
english
File:
PDF, 26 KB
Your tags:
english, 2005
15
Author Index Volume 29
Journal:
Journal of Banking & Finance
Year:
2005
Language:
english
File:
PDF, 81 KB
Your tags:
english, 2005
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