Asset Allocation and International Investments: Finance and Capital Markets Series
Editat de G. Gregoriouen Limba Engleză Hardback – 17 noi 2006
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Specificații
ISBN-13: 9780230019171
ISBN-10: 023001917X
Pagini: 244
Ilustrații: XIX, 244 p.
Dimensiuni: 155 x 235 x 21 mm
Greutate: 0.53 kg
Ediția:2007
Editura: Palgrave Macmillan UK
Colecția Palgrave Macmillan
Seria Finance and Capital Markets Series
Locul publicării:London, United Kingdom
ISBN-10: 023001917X
Pagini: 244
Ilustrații: XIX, 244 p.
Dimensiuni: 155 x 235 x 21 mm
Greutate: 0.53 kg
Ediția:2007
Editura: Palgrave Macmillan UK
Colecția Palgrave Macmillan
Seria Finance and Capital Markets Series
Locul publicării:London, United Kingdom
Cuprins
Time Varying Downside Risk: An Application to the Art Market; R. Campbell and R. Kräussl International Stock Portfolios and Optimal Currency Hedging with Regime Switching; M. Leippold and F. Morger The Determinants of Domestic and Foreign Biases: An Empirical Study; F. Abid and S. Bahloul The Critical Line Algorithm for UPM-LPM Parametric General Asset Allocation Problem with Allocation Boundaries and Linear Constraints; D. Cumova, D. Moreno, and D. Nawrocki Currency Crises, Contagion and Portfolio Selection; A. Bandopadhyaya and S. Nagarajan Bond and Stock Market Linkages: The Case of Mexico and Brazil; A. Bandopadhyaya Australian Stock Market: An Empirical Investigation; A. Chan and J. Wickramanayake The Price of Efficiency - so, what do you think about emerging markets?; Z. Berenyi Liquidity and Market Efficiency before and after the Introduction of Electronic Trading at the Sydney Futures Exchange; M. Burgess and J. Wickramanayake How Does Systematic Risk Impact Stocks? A Study on the French Financial Market; H. Gatfaoui Matrix Elliptical Contoured Distributions versus Stable Model: Application to Daily Stock Returns of Eight Stock Markets; T. Bodnar and W. Schmid Modified Sharpe Ratio Applied to Canadian Hedge Funds; G. N. Gregoriou Index
Notă biografică
FAITH ABIDSLAH BAHLOUL ARINDAM BANDOPADHYAYA Chairman and Associate Professor of Finance at UMASS-Boston, USAA. CHANBART FRIJNS Senior Lecturer at the School of Business, Auckland University of Technology, New ZealandSTEFANO GALLUCCIO Director at the Investment Banking Division of BNP Paribas, London, UKKLAUS HELLWIG Professor of Business Administration, University of Ulm, GermanyMARKUS LEIPPOLD Assistant Professor of Finance at the Swiss Banking Institute of the University of Zurich, SwitzerlandCLAUDIO MARSALA Quantitative Portfolio Manager at Ras Asset ManagementFELIX MORGER Fourth-year PhD Student at the Swiss Banking Institute of the University of Zurich, SwitzerlandSUSHMITA NAGARAJAN Senior Associate in the Structured Finance Group, Moody's Investor Service, New York, USAROGÉR OTTEN Assistant Professor of Finance at Maastricht University, The NetherlandsMASSIMILIANO PALLOTTA Member of the Risk Management Team at Ras Asset ManagementVALERIO POTI Finance Lecturer at Dublin City University, IrelandSTEFANO RICCI Member of the Quantitative Portfolio Management Unit at Ras Asset ManagementANDREA RONCORONI Assistant Professor in the Finance Department of the ESSEC Business School, Paris, France JAYASINGHE WICKRAMANAYAKE RAFFAELE ZENTI Quantitative Portfolio Manager at Ras Asset Management and Lecturer at the Master in Finance of CORIPE, University of Turin, Italy