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Euro and FIBOR interest rates: A continuous time modelling analysis JOURNAL ARTICLE published December 2008 in International Review of Financial Analysis |
The volatility of Japanese interest rates: evidence for Certificate of Deposit and Gensaki rates JOURNAL ARTICLE published January 2002 in International Review of Financial Analysis |
Dynamic betas for Canadian sector portfolios JOURNAL ARTICLE published December 2008 in International Review of Financial Analysis |
Call for Papers: Special Issue on Risk Management and Reporting in Light of the Recent Financial Crisis JOURNAL ARTICLE published June 2012 in International Review of Financial Analysis |
The Performance of a Newly Emerged Mutual Fund Industry on a Thin Security Market: Empirical Evidence From Finland JOURNAL ARTICLE published 1992 in International Review of Financial Analysis |
Investing in wine, precious metals and G-7 stock markets – A co-occurrence analysis for price bubbles JOURNAL ARTICLE published May 2023 in International Review of Financial Analysis |
Editorial Board JOURNAL ARTICLE published May 2023 in International Review of Financial Analysis |
Editorial Board JOURNAL ARTICLE published June 2011 in International Review of Financial Analysis |
Letter from the editor JOURNAL ARTICLE published January 1997 in International Review of Financial Analysis |
The comovement of US and German bond markets JOURNAL ARTICLE published January 2007 in International Review of Financial Analysis |
Evolving capital markets in the era of economic uncertainty JOURNAL ARTICLE published July 2016 in International Review of Financial Analysis |
Target country's leadership style and bidders' takeover decisions JOURNAL ARTICLE published November 2018 in International Review of Financial Analysis |
Finance models as metaphors JOURNAL ARTICLE published January 2003 in International Review of Financial Analysis |
The distribution of realized variances: Marginal behaviors, asymmetric dependence and contagion effects JOURNAL ARTICLE published June 2009 in International Review of Financial Analysis |
Editorial Board JOURNAL ARTICLE published January 1997 in International Review of Financial Analysis |
Normative portfolio theory JOURNAL ARTICLE published July 2017 in International Review of Financial Analysis |
The risk relevance of International Financial Reporting Standards: Evidence from Greek banks JOURNAL ARTICLE published April 2013 in International Review of Financial Analysis |
Editorial Board JOURNAL ARTICLE published January 2005 in International Review of Financial Analysis |
Interest parity, cointegration, and the term structure: Testing in an integrated framework JOURNAL ARTICLE published July 2016 in International Review of Financial Analysis |
IFC - Editorial Board JOURNAL ARTICLE published November 2017 in International Review of Financial Analysis |