Business & Economics Books:

Research in Finance

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Hardback
$407.99
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Description

This volume contains contributions on a range of important issues in current financial research. Topics included are - the performance of fixed income mutual funds in different economic states, the determinants of long-term excess performance of the ADRs on the NYSE, the models for forecasting the Euro/US Dollar exchange rates and the U.S. mutual funds movements, the fragmentation in day and night markets, the market reactions of the U.S.-listed foreign banks to the passage of the GLB Act of 1999, the upper bounds for American options, the spread-based models for the valuation of credit derivatives, the empirical evidence on the evolution of corporate borrowers, the determinants of private debt source, and the underlying causes and resolution policies for the systematic banking crises. This is a valuable addition to the research of finance. It contains contributions from key figures the world of finance; and offers broad coverage.
Release date Australia
November 8th, 2006
Audience
  • Professional & Vocational
Contributor
  • Edited by Andrew H. Chen
Pages
324
Dimensions
156x234x19
ISBN-13
9780762313457
Product ID
1825213

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