Implications of market microstructure for realized variance measurement

Gespeichert in:
Bibliographische Detailangaben
Veröffentlicht in:The European journal of finance
1. Verfasser: Djupsjöbacka, Daniel (VerfasserIn)
Format: UnknownFormat
Sprache:eng
Veröffentlicht: 2010
Schlagworte:
Tags: Tag hinzufügen
Keine Tags, Fügen Sie den ersten Tag hinzu!
Titel Jahr Band
Special issue of papers presented at: Third Conference on the Behavioural Finance Working Group Conference, Queen Mary University of London, UK, 23rd-24th June 2014 2017 volume 23, numbers 13/15 (October/December 2017)
Special issue of papers presented at : Third Conference on the Chinese Capital Markets University of Edinburgh Business School, 1st-2nd July 2013 2017 volume 23, numbers 7/9 (May/July 2017)
Special issue on Second Conference on the Chinese Capital Markets : Durham Business School, 25-26th June 2012 2016 volume 22, numbers 4/6 (March/April 2016)
Special issue on 2010 and 2011 forecasting financial markets conference 2015 21.2015,4/6
Special issue on First Chinese Capital Markets Conference : Durham Business School, 3 - 4 September 2011 2014 20.2014,7/9
Special issue on 3rd Emerging scholars in banking and finance : on 11 - 12 December 2012, the third Emerging Scholars in Banking and Finance Conference took place at Cass Business School, City University London 2014 20.2014,10/12
Special issue: 2nd Emerging Scholars in Banking & Finance Conference : further contemporary issues in financial institutions and markets 2013 19.2013,9/10
Special issue: Real options : the state of the art 2012 19.2013,7/8
Special Issue: Individual decision making, high frequency econometrics and limit order book dynamics 2012 18.2012,9/10
Special issue: Law, ethics, and finance 2012 18.2012,3/4
Special issue: New facets of the economic complexity in modern financial markets 2012 19.2013,5/6
Special issue: Finance in Finland 2011 17.2011,5/6
Special issue: 1st Emerging Scholars in Banking & Finance Conference : contemporary issues in financial institutions & markets 2011 17.2011,9/10
Special issue: 2008 Portuguese network finance conference 2010 16.2010,7/8
Special issue: 2007 and 2008 forecasting financial markets conference 2010 16.2010,5/6
Special issue: Asset management and international capital markets 29th - 30th May 2008, Frankfurt am Main 2009 15.2009,5/6
Special issue: Selection of papers from the 4th conference of the Portuguese Finance Network, 6th - 8th July 2006, Porto 2009 15.2009,1/2
Special issue: Copulae and multivariate probability distributions in finance 2009 15.2009,7/8
Special issues on forecasting financial markets 2008 14.2008,5/6
Special issue on financial reform in emerging markets 2008 14.2008,7/8
Alle Bände/Ausgaben auflisten