Ordenar por: Autor | Título | Año |
| 51 |
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Artículo |
La política monetaria, la curva de tipos de interés y los tipos de cambio / Analistas Financieros Internacionales
AFI. Analistas Financieros Internacionales
En: Cuadernos de información económica [Artículos], n. 80-81, nov-dic 1993, p. 114-120
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| 52 |
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Artículo |
La Unión Económica y Monetaria y las primas de riesgo de la peseta / Analistas Financieros Internacionales (ed.)
En: Análisis financiero internacional [Artículos], sumario 56, feb-mar 1993, p. 5-12 |
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| 53 | 9783319544151 (en papel) | Libro |
Portfolio selection using multi-objective optimisation [Recurso electrónico] / Saurabh Agarwal.
Agarwal, Saurabh
Cham : Springer International Publishing, 2017.
http://dx.doi.org/10.1007/978-3-319-54416-8
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| 54 | 978-1-009-36230-6 | Libro |
Digital assets : pricing, allocation and regulation / edited by Reena Aggarwal, Paolo Tasca [et al.].
Aggarwal, Reena (editora literaria)
London : Cambridge University Press, 2025.
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Fondos |
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| 55 |
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Artículo |
Volatility in emerging stock markets / Reena Aggarwal, Carla Inclan, and Ricardo Leal
Aggarwal, Reena
En: Journal of financial and quantitative analysis [Artículos], v. 34, n. 1, mar 1999, p. 33-55
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| 56 |
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Artículo |
Défaillances des marchés financiers et risque systémique / Michel Aglietta
Aglietta, Michel
En: Revue d’économie financiére [Artículos], n. 37, ete 1996, p. 113-143
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| 57 | 0669083399 | Libro |
Political economy and risk in world financial markets / Tamir Agmon
Agmon, Tamir
Lexington, Mass. : Lexington Books, 1985
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Fondos |
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| 58 | 8436818989 | Libro |
Decisiones de inversión en la empresa : un enfoque práctico / Mario Aguer Hortal.
Aguer Hortal, Mario
Madrid : Pirámide, 2004.
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Fondos |
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| 59 |
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Artículo |
Option prices and market expectations / by Javiera Aguilar and Peter Hordahl
Aguilar, Javiera
En: Quarterly review / Sveriges Riksbank [Artículos], n. 1, 1999, p. 43-70
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| 60 |
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Artículo |
Stochastic modelling for evolution of stock prices by means of functional principal component analysis / Ana M. Aguilera, Francisco A. Ocaña and Mariano J. Valderrama
Aguilera, Ana M.
En: Applied stochastic models in business and industry [Artículos], v. 15, n. 4, oct-dec 1999, p. 227-234
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| 61 |
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Libro |
Information costs and home bias : an analysis of US holdings of foreign equities / Alan G. Ahearne, William L. Griever and Francis E. Warnock
Ahearne, Alan G.
Washington : Federal Reserve System, 2000
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Fondos |
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| 62 | 9516865755 | Libro |
Analysis of financial risks in a GARCH framework / Monica Ahstedt
Ahlstedt, Monica
Helsinki : Bank of Finland, 1998
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Fondos |
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| 63 |
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Libro |
Exchange rate, interest rate and stock market price volatility for value-at-risk analysis / Monica Ahlstedt
Ahlstedt, Monica
Helsinki : Bank of Finland, 1997
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Fondos |
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| 64 |
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Artículo |
Partial adjustment or stale prices? : implications from stock index and futures return autocorrelations / Dong-Hyun Ahn... (et al.)
Ahn, Dong-Hyun
En: Review of financial studies [Artículos], v. 15, n. 2, special 2002, p. 655-689
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| 65 |
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Libro |
Behavioralize this! : international evidence on autocorrelation patterns of stock index and features return / Dong-Hyun Ahn ... (et al.)
Ahn, Dong-Hyun
Cambridge, Mass. : NBER. National Bureau of Economic Research, 1999
https://www.nber.org/papers/w7214
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Fondos |
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| 66 |
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Artículo |
A parametric nonlinear model of term structure dynamics / Dong-Hyun Ahn, Bin Gao
Ahn, Dong-Hyun
En: Review of financial studies [Artículos], v. 12, n. 4, special 1999, p. 721-762
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| 67 |
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Libro |
Optimal risk management using options / Dong-Hyun Ahn... (et al.)
Ahn, Dong-Hyun
New York : Leonard N. Stern School of Business, 1997
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Fondos |
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| 68 |
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Libro |
Optimal risk management using options / Dong-Hyun Ahn... (et al.)
Ahn, Dong-Hyun
Cambridge, Mass. : NBER. National Bureau of Economic Research, 1997
https://www.nber.org/papers/w6158
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Fondos |
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| 69 | 9780857192196 | Libro |
Stir futures : trading Euribor and Eurodollar futures / by Stephen Aikin.
Aikin, Stephen
Hampshire, England : Harriman House, 2012.
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Fondos |
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| 70 |
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Libro |
Have institutional investors destabilized emerging markets? / prepared by Brian Aitken
Aitken, Brian J.
Washington : FMI. Fondo Monetario Internacional, 1996
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Fondos |
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| 71 |
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Libro |
"Overreaction" of asset prices in general equilibrium / S. Rao Aiyagari, Mark Gertler
Aiyagari, S. Rao
Cambridge, Mass. : NBER. National Bureau of Economic Research, 1998
https://www.nber.org/papers/w6747
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Fondos |
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| 72 |
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Artículo |
Coexistence of money and interest-bearing securities / S. Rao Aiyagari, Neil Wallace, Randall Wright
Aiyagari, S. Rao
En: Journal of monetary economics [Artículos], v. 37, n. 3, june 1996, p. 397-419
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| 73 | 0521855241 | Libro |
Managing economic volatility and crises : a practitioner’s guide / edited by Joshua Aizenman, Brian Pinto.
Aizenman, Joshua (ed. lit.)
[New York] : Cambridge University Press, [2005].
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Fondos |
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| 74 |
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Libro |
International portfolio diversification with generalized expected utility preferences / Joshua Aizenman
Aizenman, Joshua
Cambridge, Mass. : NBER. National Bureau of Economic Research, 1997
https://www.nber.org/papers/w5965
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Fondos |
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| 75 |
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Libro |
Defaultable security valuation and model risk / Aydin Akgun
Akgun, Aydin
Geneva : FAME. International Center for Financial Asset Management and Engineering, 2001
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Fondos |
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