Performance measurement of managed portfolios

Literaturverz. S. 49 - 58

Gespeichert in:
Bibliographische Detailangaben
Veröffentlicht in:Financial markets, institutions & instruments
1. Verfasser: Shukla, Ravi (VerfasserIn)
Weitere Verfasser: Trzcinka, Charles (BerichterstatterIn)
Format: UnknownFormat
Sprache:eng
Veröffentlicht: 1992
Schlagworte:
Tags: Tag hinzufügen
Keine Tags, Fügen Sie den ersten Tag hinzu!
Titel Jahr Band
Special issue: Surrey-Fordham Conference on "Banking, Finance, Money and Institutions: the Post Crisis Era" 2015 24.2015,2/3
Special issue in honor of Professors Edward I. Altman and Ingo Walter 2015 volume 25, number 1, 2016
The effectiveness of the regulatory stress testing disclosure process 2014 23.2014,1
Issues in debt securities 2014 23.2014,4
The impact of sovereign credit ratings on corporations : a literature review and research recommendations 2014 23.2014,3
Dynamic financial system : complexity, fragility and regulatory principles 2013 22.2013,1
The fear premium and daily comovements of the S&P E/P ratio and treasury yields before and during the 2008 financial crisis 2013 22.2013,3
Issues in banking 2013 22.2013,5
Papers on bond valuation 2013 22.2013,4
Selected papers on risk measurment presented at the 2012 IRM conference on global standards for risk measurement, management and regulation 2013 22.2013,2
Obstacles to financial development in transition economies : a literature survey 2012 21.2012,4
A theoretical and empirical review of the EU regulation on credit rating agencies : in search of truth, not scapegoats 2012 21.2012,2
Rating agencies as gatekeepers to the capital market : practical implications of 40 years of research 2012 21.2012,3
Industrial loan companies : where banking and commerce meet 2012 21.2012,1
Credit unions : a theoretical and empirical overview 2011 20.2011,3
IPOs and corporate finance : select papers 2011 20.2011,5
What drives acquisitions in the EU banking industry? : the role of bank regulation and supervision framework, bank-specific and market-specific factors 2011 20.2011,2
Does the stock market compensate banks for diversifying into the insurance business? 2011 20.2011,1
Issues in investment management 2011 20.2011,4
Issues in financial intermediation 2010 19.2010,1
Alle Bände/Ausgaben auflisten