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Items where Schools and Departments is "Finance" and Year is 2002

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Number of items: 4.

Book Section

Marsh, I. W. (2002). What central banks can learn about default risk from credit markets. In: Market functioning and central bank policy (BIS Papers No 12). . Basel, Switzerland: Bank for International Settlements.

Report

Blake, D. ORCID: 0000-0002-2453-2090 (2002). Out of the GAR Frying Pan into the GIR Fire: An Independent Evaluation of the Current State of the With-Profits Fund of the Equitable Life Assurance Society. London, UK: Pensions Institute.

Thesis

Lin, S.X. (2002). Information transmission in energy futures markets. (Unpublished Doctoral thesis, City University London)

Visvikis, I.D. (2002). An econometric analysis of the forward freight market. (Unpublished Doctoral thesis, City University London)

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