EconStor >

Search Results

 
for  

Results 121-130 of 428.


Item hits:

DateTitle Authors
2009 Testing for convergence in stock markets : a non-linear factor approachCaporale, Guglielmo Maria / Erdogan, Burcu / Kuzin, Vladimir N.
2009 Social identity, competition, and finance: a laboratory experimentBauernschuster, Stefan / Falck, Oliver / Große, Niels Daniel
2009 Empirische Analyse der Drawdowns von Dach-HedgefondsHeidorn, Thomas / Kaiser, Dieter G. / Roder, Christoph
2006 Utility Functions of Equivalent Form and the Effect of Parameter Changes on Optimum Decision MakingBroll, Udo / Battermann, Harald L. / Wahl, Jack E.
2006 The portfolio choices of Hispanic couplesCobb-Clark, Deborah A. / Hildebrand, Vincent A.
2009 Modelling and forecasting liquidity supply using semiparametric factor dynamicsHärdle, Wolfgang Karl / Hautsch, Nikolaus / Mihoci, Andrija
2009 Is cross-category brand loyalty determined by risk aversion?Silberhorn, Nadja / Hildebrandt, Lutz
2009 Different risk-adjusted fund performance measures: a comparisonGrau-Carles, Pilar / Sainz, Jorge / Otamendi, Javier / Doncel, Luis Miguel
2005 Möglichkeiten der Strukturierung von HedgefondsportfoliosHeidorn, Thomas / Hoppe, Christian / Kaiser, Dieter G.
2010 Staatliche Zinssubvention und Auslandsverschuldung: Eine Mittelwert-Varianz-Analyse am Beispiel UngarnPfeffer, Annamaria

Back 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 Next