City Research Online

Items where Schools and Departments is "Finance" and Year is 2000

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Number of items: 6.

B

Batchelor, R. & Zarkesh, F. (2000). Variance rationality: a direct test. In: Gardes, F. & Prat, G. (Eds.), Price Expectations in Goods and Financial Markets. (pp. 156-271). London and New York: Edward Elgar.

Blake, D. ORCID: 0000-0002-2453-2090 & Hudson, R. (2000). Improving Security and Flexibility in Retirement: Full Technical Report. London, UK: Retirement Income Working Party.

F

Fusai, G. (2000). Corridor options and arc-sine law. ANNALS OF APPLIED PROBABILITY, 10(2), pp. 634-663. doi: 10.1214/aoap/1019487359

S

Sorwar, G. (2000). Valuation of Single-Factor Interest Rate Derivatives.. (Unpublished Doctoral thesis, City, University of London)

Staikouras, Christos (2000). European Banking Industry: Sources of Income and Profitability. (Unpublished Doctoral thesis, City, University of London)

T

Timmermann, A. & Blake, D. ORCID: 0000-0002-2453-2090 (2000). International Investment Performance: Evidence from Institutional Investors’ Foreign Equity Holdings (PI-0008). London, UK: Pensions Institute.

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