Browsen in EconStor gesamt nach Autor:innen Berglund, Tom


Zeige Ergebnisse 1 bis 12 von 12
ErscheinungsjahrTitelAutor:innen
1983The January Effect on a Small Stock Market: Lumpy Information and Tax-Loss SellingWahlroos, Bjorn; Berglund, Tom
1984Anomalies and Equilibrium Returns in a Small Stock MarketWahlroos, Bjorn; Berglund, Tom
1984Stock ReturnsWahlroos, Bjorn; Berglund, Tom
1989Perceived and Measured Risk; An Empirical AnalysisBerglund, Tom
1990Earnings Versus Stock Market Returns; How Betas Computed on These Variables DifferBerglund, Tom
1990Pricing Options on a Constrained Currency Index: Some Simulation ResultsBerglund, Tom; Ringbom, Staffan; Vajanne, Laura
1990Trading Volume and International Trading in Stocks – Their Impact on Stock Price VolatilityBerglund, Tom; Liljeblom, Eva
1990The Impact of Trading Volume on Stock Return Distributions: An Empirical AnalysisBerglund, Tom; Liljeblom, Eva
1990Predicting Volatility of Stock Indexes for Option Pricing on a Small Security MarketBerglund, Tom; Hedvall, Kaj; Liljeblom, Eva
2015Escalating crisis in the eurozone: The case for conditional debt relief for Greece (Statement No. 40)Veredas, David; Thygesen, Niels; Berglund, Tom; H. Schmidt, Reinhard; Bruni, Franco; Benink, Harald; Alexander, Kern; Carbo-Valverde, Santiago; Lastra, Rosa; Wihlborg, Clas; European Shadow Financial Regulatory Committee (ESFRC)
2016Learning from financial crisis: the experience of Nordic banksBerglund, Tom; Mäkinen, Mikko
2020Liquidity and corporate governanceBerglund, Tom