|
|
EconStor >
Search Results
Results 41-50 of 463.
Item hits:
| Date | Title |
Authors |
| 2000 | Surprises in scheduled releases: why do they move the bond market? | Hess, Dieter E. |
| 2001 | A mean variance king? Creation and resolution of uncertainty under the employment report's reign | Hautsch, Nikolaus / Hess, Dieter E. |
| 2006 | Real-time forecasting and political stock market anomalies: evidence for the U.S. | Bohl, Martin T. / Döpke, Jörg / Pierdzioch, Christian |
| 2010 | Efficiency and stability in complex financial markets | Caccioli, Fabio / Marsili, Matteo |
| 2002 | Internalisierung und Marktqualität: Was bringt Xetra Best? | Theissen, Erik |
| 2006 | Institutional investors and stock market efficiency: The case of the January anomaly | Bohl, Martin T. / Gottschalk, Katrin / Henke, Harald / Pál, Rozália |
| 2003 | Risk management, rational herding and institutional investors : a macro view | Menkhoff, Lukas / Lütje, Torben |
| 2004 | To Be Good or To Be Better: Asset Managers' Attitudes Towards Herding | Lütje, Torben |
| 2005 | Do Dollar Forecasters Believe too Much in PPP? | Menkhoff, Lukas / Rebitzky, Rafael R. / Schröder, Michael |
| 2004 | Sichtweisen und Anlageverhalten des österreichischen Fondsmanagements | Lütje, Torben |
Back
1
2
3
4
5
6
7
8
9
10
11
12
13
14
Next
|