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Statistical Issues in Modeling Multivariate Stable Portfolios BOOK CHAPTER published 2003 in Handbook of Heavy Tailed Distributions in Finance |
Basic Data Description for Financial Modeling and Analysis OTHER published 15 September 2008 in Handbook of Finance |
Securities Markets REFERENCE ENTRY published 19 May 2016 in The Oxford Handbook of Banking and Financial History |
Institutional Aspects of the Securities Markets OTHER published 15 September 2008 in Handbook of Finance |
Overview of Financial Instruments and Financial Markets OTHER published 15 September 2008 in Handbook of Finance |
Mortgage-backed securities BOOK CHAPTER published 18 May 2023 in Research Handbook of Financial Markets |
Stable Non-Gaussian Models for Credit Risk Management BOOK CHAPTER published 2003 in Handbook of Heavy Tailed Distributions in Finance |
Cross-border regulation of securities markets in ASEAN BOOK CHAPTER published 17 January 2020 in Research Handbook on Asian Financial Law |
Stable Modeling of Market and Credit Value at Risk BOOK CHAPTER published 2003 in Handbook of Heavy Tailed Distributions in Finance |
Networked securities markets: from cross-listing to direct connection BOOK CHAPTER published 17 January 2020 in Research Handbook on Asian Financial Law |
Securities Settlement Systems BOOK CHAPTER published 2013 in Handbook of Key Global Financial Markets, Institutions, and Infrastructure |
Approaches to Detect Securities Fraud in Capital Markets BOOK CHAPTER published 2021 in Handbook of Research on Theory and Practice of Financial Crimes |
Securities Finance Disputes OTHER published 5 April 2017 in Litigation Services Handbook |
Introduction to Stochastic Processes OTHER published 15 September 2008 in Handbook of Finance |
An Arbitrage Perspective of the Purpose and Structure of Financial Markets OTHER published 15 September 2008 in Handbook of Finance |
Risk Measures and Portfolio Selection OTHER published 15 September 2008 in Handbook of Finance |
Black‐Scholes Option Pricing Model OTHER published 15 September 2008 in Handbook of Finance |
Geography and financial decision making BOOK CHAPTER published 11 August 2023 in Handbook of Financial Decision Making |
Regression Analysis OTHER published 15 September 2008 in Handbook of Finance |
Financial markets in developing countries BOOK CHAPTER published 31 October 2012 in Handbook of Critical Issues in Finance |