Books on the topic 'Capital market model'
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Blake, David. A model of the capital market. City University Business School, 1985.
Find full textDavid, Blake. A model of the capital market. City University Business School, 1985.
Find full textKemp, Malcolm H. D. Market consistency: Model calibration in imperfect markets. Wiley, 2009.
Find full textAhmed, Ayaz. Stock market interlinkages in emerging markets. Pakistan Institute of Development Economics, 1998.
Find full textBrandt, Michael W. A no-arbitrage approach to range-based estimation of return covariances and correlations. National Bureau of Economic Research, 2003.
Find full textAgarwalla, Sobhesh Kumar. Four factor model in Indian equities market. Indian Institute of Management, 2013.
Find full textBenassi, Corrado. A competitive model of credit intermediation. European University Institute, 1990.
Find full textEliasson, Gunnar. The firm and financial markets in the Swedish micro-to-macro model: Theory, model, and verification. Industrial Institute for Economic and Social Research, 1985.
Find full textWarfsmann, Jürgen. Das Capital Asset Pricing Model in Deutschland: Univariate und multivariate Tests für den Kapitalmarkt. Deutscher Universitäts Verlag, 1993.
Find full textPandey, Ajay. Modelling and forecasting volatility in Indian capital markets. Indian Institute of Management, 2003.
Find full textGuo, Hui. Does stock market volatility forecast returns: The international evidence. Federal Reserve Bank of St. Louis, 2003.
Find full textGao, Chunting. Wu yin zi zi chan ding jia mo xing ji shi zheng ying yong: A study on five-factor asset pricing model and its application. She hui ke xue wen xian chu ban she, 2018.
Find full textLove, Inessa. Financial development and financing constraints: International evidence from the structural investment model. World Bank, Development Research Group, Finance, 2001.
Find full textKasperzak, Rainer. Aktienkursbildung: Eine handlungstheoretisch fundierte "Erklärung des Prinzips". Duncker & Humblot, 1997.
Find full textSemmler, Willi. Asset prices, booms and recessions: Financial economics from a dynamic perspective. 3rd ed. Springer, 2011.
Find full textLustig, Hanno. The market price of aggregate risk and the wealth distribution. National Bureau of Economic Research, 2005.
Find full textThorsten, Hens, and Schenk-Hoppe Klaus Reiner, eds. Handbook of financial markets: Dynamics and evolution. North Holland, 2009.
Find full textKemmerich, Ulrike. Die Bedeutung von Kapitalmarkterkenntnissen für die betriebliche Investitions- und Finanzplanung. Kovač, 1990.
Find full textMcEntegart, Karen. A comparison of mean-variance and mean-semivariance capital asset models : evidence from the Irish stock market. University College Dublin, 1994.
Find full textArtis, M. J. The US and the EMS: A stylised asymmetrical two-country model. University of Aberdeen. Department of Economics, 1991.
Find full textFrancois-Serge, Lhabitant, and Gregoriou Greg N. 1956-, eds. Stock market liquidity: Implications for market microstructure and asset pricing. J. Wiley & Sons, 2007.
Find full textHartung, Ina. The transferability of the American venture capital model into the German market. Oxford Brookes University, 2001.
Find full textAndritzky, Jochen R. The impact of macroeconomic announcements on emerging market bonds. International Monetary Fund, Policy Development and Review Dept., 2005.
Find full textKurosawa, Yoshitaka. Capital market and rating agencies in Asia: Structuring a credit risk rating model. Nova Science Publishers, 2011.
Find full textTesar, Linda L. International equity transactions and U.S. portfolio choice. National Bureau of Economic Research, 1994.
Find full textFerson, Wayne E. Economic, financial, and fundamental global risk in and out of the EMU. National Bureau of Economic Research, 1999.
Find full textBernd, Meyer. Intertemporal asset pricing: Evidence from Germany. Physica-Verlag, 1999.
Find full textLewellen, Jonathan. Estimation risk, market efficiency, and the predictability of returns. National Bureau of Economic Research, 2000.
Find full textCampbell, John Y. By force of habit: A consumption-based explanation of aggregate stock market behavior. Federal Reserve Bank of Philadelphia, Economic Research Division, 1994.
Find full textCampbell, John Y. By force of habit: A consumption-based explanation of aggregate stock market behavior. National Bureau of Economic Research, 1994.
Find full textArbuthnott, Andrew. Risk, return and seasonality: Evidence from the Irish stock market. University College Dublin, 1993.
Find full textAtuahene-Gima, Kwaku. The social capital of the top marketing team, inter-firm market learning capability, and business performance: A test of a mediating model. Marketing Science Institute, 2002.
Find full textLubis, Ade Fatma. Pasar modal: Sebuah pendekatan pasar modal terintegrasi. Lembaga Penerbit, Fakultas Ekonomi UI, 2008.
Find full textLubis, Ade Fatma. Pasar modal: Sebuah pendekatan pasar modal terintegrasi. Lembaga Penerbit, Fakultas Ekonomi UI, 2008.
Find full textUsman, Marzuki. Pengetahuan dasar pasar modal. Penerbit Institut Bankir Indonesia bekerja sama dengan Jurnal Keuangan dan Moneter, Badan Analisa Keuangan dan Moneter, Departemen Keuangan R.I., 1997.
Find full textJiwa, Sarana, and Pusat Penelitian Ekonomi (Indonesia), eds. Pasar modal dalam pembangunan ekonomi berkelanjutan. Pusat Penelitian Ekonomi, Lembaga Ilmu Pengetahuan Indonesia, 2008.
Find full textFahmi, Irham. Pengantar pasar modal: Panduan bagi para akademisi dan praktisi bisnis dalam memahami pasar modal Indonesia. Penerbit Alfabeta, 2012.
Find full textMoechdie, Abi Hurairah. Gerbang pintar pasar modal. Capital Bridge Advisory, 2012.
Find full textWidoatmodjo, Sawidji. Pasar modal Indonesia: Pengantar dan studi kasus. Ghalia Indonesia, 2009.
Find full textKrueger, Alan B. Do markets respond more to more reliable labor market data?: A test of market rationality. National Bureau of Economic Research, 1996.
Find full textKrueger, Alan B. Do markets respond more to more reliable labor market data?: A test of market rationality. Princeton University, Industrial Relations Section, 1995.
Find full textSitompul, Asril. Pasar modal: Penawaran umum dan permasalahannya : dilengkapi dengan Undang-Undang nomor 8 tahun 1995 Tentang Pasar Modal beserta penjelasannya. Citra Aditya Bakti, 1996.
Find full textKorajczyk, Robert A. A measure of stock market integration for developed and emerging markets. World Bank, Policy Research Dept., Finance and Private Sector Development Division, 1995.
Find full textW, Cooper Russell. Exhuming Q: Market power vs. capital market imperfections. Federal Reserve Bank of Minneapolis, Research Dept., 2001.
Find full textW, Cooper Russell. Exhuming Q: Market power vs. capital market imperfections. National Bureau of Economic Research, 2001.
Find full textCaballero, Ricardo J. Emerging market crises: An asset markets perspective. National Bureau of Economic Research, 1998.
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