Habit formation and persistence in individual assest portfolio holdings the case of Italy /
Guardat en:
Autor principal: | Muñoz, Sònia, 1970- |
---|---|
Autor corporatiu: | International Monetary Fund. African Dept, ebrary, Inc |
Format: | Electrònic eBook |
Idioma: | anglès |
Publicat: |
[Washington, D.C.] :
International Monetary Fund, African Dept.,
2006.
|
Col·lecció: | IMF working paper ;
WP/06/29. |
Matèries: | |
Accés en línia: | An electronic book accessible through the World Wide Web; click to view |
Etiquetes: |
Afegir etiqueta
Sense etiquetes, Sigues el primer a etiquetar aquest registre!
|
Ítems similars
Default, credit growth, and asset prices
per: Segoviano, Miguel A.
Publicat: (2006)
per: Segoviano, Miguel A.
Publicat: (2006)
Maslowian portfolio theory /
per: De Brouwer, Philippe
Publicat: (2011)
per: De Brouwer, Philippe
Publicat: (2011)
Portfolio design a modern approach to asset allocation /
per: Marston, Richard C.
Publicat: (2011)
per: Marston, Richard C.
Publicat: (2011)
Multi-asset investing : a practitioner's framework /
per: Gupta, Pranay, 1966-, et al.
Publicat: (2016)
per: Gupta, Pranay, 1966-, et al.
Publicat: (2016)
Wealth effects in Europe a tale of two countries (Italy and the United Kingdom) /
per: Muñoz, Sònia, 1970-
Publicat: (2006)
per: Muñoz, Sònia, 1970-
Publicat: (2006)
Bank competition, risk, and asset allocations
per: Boyd, John H.
Publicat: (2009)
per: Boyd, John H.
Publicat: (2009)
Modern portfolio theory /
per: O'Brien, John, 1950-
Publicat: (1995)
per: O'Brien, John, 1950-
Publicat: (1995)
Trends in Italy's nonprice competitiveness /
per: Lissovolik, Bogdan
Publicat: (2008)
per: Lissovolik, Bogdan
Publicat: (2008)
The new science of asset allocation risk management in a multi-asset world /
per: Schneeweis, Thomas
Publicat: (2010)
per: Schneeweis, Thomas
Publicat: (2010)
The four pillars of investing : lessons for building a winning portfolio /
per: Bernstein, William J.
Publicat: (2010)
per: Bernstein, William J.
Publicat: (2010)
Investors and markets portfolio choices, asset prices, and investment advice /
per: Sharpe, William F.
Publicat: (2008)
per: Sharpe, William F.
Publicat: (2008)
Advances in portfolio construction and implementation
Publicat: (2003)
Publicat: (2003)
Commodities and the market price of risk /
per: Roache, Shaun K.
Publicat: (2008)
per: Roache, Shaun K.
Publicat: (2008)
Alternative investments and strategies credit, derivatives, CPPI, investments, risk /
Publicat: (2010)
Publicat: (2010)
International competitiveness of the Mediterranean quartet : a heterogeneous-product approach /
per: Bennett, Herman Z.
Publicat: (2008)
per: Bennett, Herman Z.
Publicat: (2008)
Credit matters : empirical evidence on U.S. macro-financial linkages /
per: Bayoumi, Tamim A.
Publicat: (2008)
per: Bayoumi, Tamim A.
Publicat: (2008)
Efficient asset management: a practical guide to stock portfolio optimization and asset allocation
per: Michaud, Richard O., 1941-
Publicat: (2008)
per: Michaud, Richard O., 1941-
Publicat: (2008)
Zimbabwe's export performance the impact of the parallel market and governance factors /
per: Muñoz, Sònia, 1970-
Publicat: (2006)
per: Muñoz, Sònia, 1970-
Publicat: (2006)
Advanced stochastic models, risk assessment, and portfolio optimization the ideal risk, uncertainty, and performance measures /
per: Rachev, S. T. (Svetlozar Todorov)
Publicat: (2008)
per: Rachev, S. T. (Svetlozar Todorov)
Publicat: (2008)
Banks' precautionary capital and persistent credit crunches /
per: Valencia, Fabian
Publicat: (2007)
per: Valencia, Fabian
Publicat: (2007)
Inside the black box a simple guide to quantitative and high-frequency trading /
per: Narang, Rishi K., 1974-
Publicat: (2013)
per: Narang, Rishi K., 1974-
Publicat: (2013)
A primer for risk measurement of bonded debt from the perspective of a sovereign debt manager
per: Papaioannou, Michael G.
Publicat: (2006)
per: Papaioannou, Michael G.
Publicat: (2006)
Handbook of modeling high-frequency data in finance
per: Viens, Frederi G., 1969-
Publicat: (2012)
per: Viens, Frederi G., 1969-
Publicat: (2012)
Bank risk-taking and competition revisited new theory and new evidence /
per: Boyd, John Harvey, 1953-
Publicat: (2006)
per: Boyd, John Harvey, 1953-
Publicat: (2006)
Pension privatization and country risk /
Publicat: (2008)
Publicat: (2008)
The impact of trade on wages what if countries are not small? /
per: Saito, Mika, 1967-
Publicat: (2006)
per: Saito, Mika, 1967-
Publicat: (2006)
Income distribution in macroeconomic models /
per: Bertola, Giuseppe, et al.
Publicat: (2006)
per: Bertola, Giuseppe, et al.
Publicat: (2006)
Product variety and the gains from international trade /
per: Feenstra, Robert C.
Publicat: (2010)
per: Feenstra, Robert C.
Publicat: (2010)
Complete and incomplete econometric models
per: Geweke, John
Publicat: (2010)
per: Geweke, John
Publicat: (2010)
Econometrics in a formal science of economics : theory and the measurement of economic relations /
per: Stigum, Bernt P.
Publicat: (2015)
per: Stigum, Bernt P.
Publicat: (2015)
Rising income inequality : technology, or trade and financial globalization? /
per: Jaumotte, Florence
Publicat: (2008)
per: Jaumotte, Florence
Publicat: (2008)
Trade effects of currency unions : do economic dissimilarities matter? /
per: Albertin, Giorgia
Publicat: (2008)
per: Albertin, Giorgia
Publicat: (2008)
Distance-to-default in banking a bridge too far? /
per: Chan-Lau, Jorge A.
Publicat: (2006)
per: Chan-Lau, Jorge A.
Publicat: (2006)
Do financial sector reforms lead to financial development? : evidence from a new dataset /
per: Tressel, Thierry
Publicat: (2008)
per: Tressel, Thierry
Publicat: (2008)
Does fiscal policy matter for the trade account? a panel cointegration study /
per: Funke, Katja
Publicat: (2006)
per: Funke, Katja
Publicat: (2006)
Tariff-tax reforms in large economies
Publicat: (2012)
Publicat: (2012)
Monetary and macroprudential policy rules in a model with house price booms
per: Kannan, Prakash
Publicat: (2009)
per: Kannan, Prakash
Publicat: (2009)
Macro-hedging for commodity exporters
per: Borensztein, Eduardo
Publicat: (2009)
per: Borensztein, Eduardo
Publicat: (2009)
Is monetary policy effective when credit is low? /
per: Saizar, Carolina Ana
Publicat: (2008)
per: Saizar, Carolina Ana
Publicat: (2008)
International policy coordination and simple monetary policy rules
per: Berger, Wolfram
Publicat: (2006)
per: Berger, Wolfram
Publicat: (2006)
Ítems similars
-
Default, credit growth, and asset prices
per: Segoviano, Miguel A.
Publicat: (2006) -
Maslowian portfolio theory /
per: De Brouwer, Philippe
Publicat: (2011) -
Portfolio design a modern approach to asset allocation /
per: Marston, Richard C.
Publicat: (2011) -
Multi-asset investing : a practitioner's framework /
per: Gupta, Pranay, 1966-, et al.
Publicat: (2016) -
Wealth effects in Europe a tale of two countries (Italy and the United Kingdom) /
per: Muñoz, Sònia, 1970-
Publicat: (2006)