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Issue Date | Title | Author(s) |
---|---|---|
2008 | Value-at-risk and extreme value distributions for financial returns | Tolikas, K |
2000 | Portfolio regulation of life insurance companies and pension funds | Davis, EP |
2008 | An application of extreme value theory in modelling extreme share returns | Tolikas, K |
2002 | A panel analysis of UK industrial company failure | Hunter, J; Isachenkova, N |
2010 | Growth, financial development, market liquidity and risk | Tan, Bin |
2012 | Three essays on financing education: exploring the role of the government and the private sector | Twum-Boateng, Dickson |
2011 | How idiosyncratic are banking crises in OECD countries? | Barrell, R; Philip Davis, E; Karim, D; Liadze, I |
2011 | Fiscal shocks and real exchange rate dynamics: Some evidence for Latin America | Ciferri, D; Girardi, A |
2009 | The Euro and inflation uncertainty in the European Monetary Union | Kontonikas, A |
2014 | An empirical analysis of patterns in, and the informativeness of, director trading in the UK | Nassar, Basel |
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