Works matching IS 16142446 AND DT 2012 AND VI 8 AND IP 4
Results: 6
More punishment, less default?
- Published in:
- Annals of Finance, 2012, v. 8, n. 4, p. 427, doi. 10.1007/s10436-012-0203-4
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- Article
On the necessity of five risk measures.
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- Annals of Finance, 2012, v. 8, n. 4, p. 533, doi. 10.1007/s10436-012-0205-2
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- Article
Are performance measures equally stable?
- Published in:
- Annals of Finance, 2012, v. 8, n. 4, p. 553, doi. 10.1007/s10436-012-0189-y
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- Article
The price of risk and ambiguity in an intertemporal general equilibrium model of asset prices.
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- Annals of Finance, 2012, v. 8, n. 4, p. 507, doi. 10.1007/s10436-012-0197-y
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- Article
A two price theory of financial equilibrium with risk management implications.
- Published in:
- Annals of Finance, 2012, v. 8, n. 4, p. 489, doi. 10.1007/s10436-012-0200-7
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- Article
On Ponzi schemes in infinite horizon collateralized economies with default penalties.
- Published in:
- Annals of Finance, 2012, v. 8, n. 4, p. 455, doi. 10.1007/s10436-012-0209-y
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- Article