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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

Authors: K.B. Nowman | B.B.H. Yahia

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

Authors: K.Ben Nowman

Dynamic betas for Canadian sector portfolios

JOURNAL ARTICLE published December 2008 in International Review of Financial Analysis

Authors: Zhongzhi (Lawrence) He | Lawrence Kryzanowski

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

Authors: Eero Kasanen | Juha Kinnunen | Ralf Östermark | Jaana Aaltonen

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

Authors: Marcin Potrykus

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

Authors: Tom Engsted | Carsten Tanggaard

Evolving capital markets in the era of economic uncertainty

JOURNAL ARTICLE published July 2016 in International Review of Financial Analysis

Authors: M. Shahid Ebrahim | Duc Khuong Nguyen

Target country's leadership style and bidders' takeover decisions

JOURNAL ARTICLE published November 2018 in International Review of Financial Analysis

Authors: Ibtissem Rouine

Finance models as metaphors

JOURNAL ARTICLE published January 2003 in International Review of Financial Analysis

Authors: Elton G. McGoun

The distribution of realized variances: Marginal behaviors, asymmetric dependence and contagion effects

JOURNAL ARTICLE published June 2009 in International Review of Financial Analysis

Authors: Thierry Ané | Carole Métais

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

Authors: Yufen Fu | George W. Blazenko

The risk relevance of International Financial Reporting Standards: Evidence from Greek banks

JOURNAL ARTICLE published April 2013 in International Review of Financial Analysis

Authors: Stephanos Papadamou | Trifon Tzivinikos

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

Authors: Dimitris A. Georgoutsos | Georgios P. Kouretas

IFC - Editorial Board

JOURNAL ARTICLE published November 2017 in International Review of Financial Analysis