• Fri frakt över 249 kr
  • •
  • Snabba leveranser
  • •
  • Billiga böcker
Kundservice

Du är på sajten för privatpersoner.

Företag, bibliotek eller offentlig verksamhet?

Du handlar på classic.bokus.com, där alla dina funktioner finns intakta.
Till classic.bokus.com
Bokus logotyp. Gå till startsidan.
  • Erbjudanden
  • Student
  • Topplistor
  • Barn & ungdom
  • Bokus Play
  • E-böcker
  • Ljudböcker
  • Pocketböcker
  • Spel och pussel

Skapa nya rutiner – hälsoböcker upp till 50% →

Sidfot

Mina sidor

    Hjälp

    • Kundservice
    • Vanliga frågor och svar
    • Frakt och leverans
    • Retur vid ångerrätt
    • Reklamera vara
    • Betalning
    • Köpvillkor
    • Allmänna villkor
    • Information om webbplatsens tillgänglighet

    Om Bokus

    • Om oss
    • Pressrum
    • För studenter
    • För företag
    • För bibliotek och offentlig verksamhet
    • För leverantörer
    • Hållbarhet

    Populärt

    • Aktuella erbjudanden
    • Presentkort
    • Studentlitteratur
    • Nya böcker
    • Topplistor
    • Signerade böcker
    • Engelska böcker

    Inspiration

    • Boktips
    • BookTok
    • Barnbokskaraktärer
    • Populära författare
    Logotyp för Bokus
    Följ oss på Facebook (extern länk)Följ oss på Instagram (extern länk)Följ oss på YouTube (extern länk)Följ oss på TikTok (extern länk)
    bokus @ CookiesAnpassa cookiesIntegritetspolicyKöpvillkor
    Till Citymail hemsida (extern länk)Till Budbee hemsida (extern länk)Till Postnord hemsida (extern länk)Till Schenker hemsida (extern länk)Till Early Bird hemsida (extern länk)Till Walleys hemsida (extern länk)
    1. Ekonomi och Ledarskap
    2. Företagsekonomi
    3. Entreprenörskap

    International Securities

    AvGeorge C. Philippatos,Gregory Koutmos

    Inbunden, Engelska, 2001

    Del 9 i serien The International Library of Critical Writings in Financial Economics series

    10 061 kr

    Beställningsvara. Skickas inom 5-8 vardagar. Fri frakt över 249 kr.

    Beskrivning

    The world of finance has been revolutionized in the last twenty years by factors such as the liberalization and subsequent integration of global financial markets and the advances in computing and communications technology. These important changes have led to a stream of financial innovations and theoretical breakthroughs in the area of pricing diverse financial instruments. More than ever before, we witness a process where international securities are traded in a global marketplace.This comprehensive collection encompasses the most recent contributions in the area of international securities. It includes the most important articles on current issues and future development in this key area of international finance. It will be an essential source of reference to researchers, students and practitioners alike.

    Produktinformation

    • Utgivningsdatum:2001-08-28
    • Mått:169 x 244 x undefined mm
    • Format:Inbunden
    • Språk:Engelska
    • Serie:The International Library of Critical Writings in Financial Economics series
    • Förlag:Edward Elgar Publishing Ltd
    • ISBN:9781840642759

    Utforska kategorier

    • Entreprenörskap inom Ekonomi och Ledarskap
    • Internationell ekonomi inom Ekonomi och Ledarskap
    • Finansiering inom Ekonomi och Ledarskap

    Mer om författaren

    Edited by the late George C. Philippatos, formerly Distinguished Chaired Professor of Banking and Finance, University of Tennessee, US and Gregory Koutmos, Professor of Finance, Fairfield University, US

    Innehållsförteckning

    • Contents:Volume I AcknowledgementsForeword Richard RollPreface George Philippatos and Gregory KoutmosIntroduction George Philippatos and Gregory KoutmosPART IINTERNATIONAL EQUITIES1. Richard O. Michaud, Gary L. Bergstrom, Ronald D. Frashure and Brian K. Wolahan (1996), ‘Twenty Years of International Equity Investing’2. Giorgio De Santis and Bruno Gérard (1997), ‘International Asset Pricing and Portfolio Diversification with Time-Varying Risk’3. Gregory Koutmos (1992), ‘Asymmetric Volatility and Risk Return Tradeoff in Foreign Stock Markets’4. Richard Roll (1992), ‘Industrial Structure and the Comparative Behavior of International Stock Market Indices’5. Cheol S. Eun and S. Janakiramanan (1986), ‘A Model of International Asset Pricing with a Constraint on the Foreign Equity Ownership’6. Shinsuke Ikeda (1991), ‘Arbitrage Asset Pricing under Exchange Risk’7. Antonios Antoniou, Ian Garrett and Richard Priestley (1998), ‘Macroeconomic Variables as Common Pervasive Risk Factors and the Empirical Content of the Arbitrage Pricing Theory’PART IIINTERNATIONAL DIVERSIFICATION AND PORTFOLIO MANAGEMENT 8. Philippe Jorion and Leonid Roisenberg (1993), ‘Synthetic International Diversification’9. Cheol S. Eun, Richard Kolodny and Bruce G. Resnick (1991), ‘U.S.-based International Mutual Funds: A Performance Evaluation’10. Hiroshi Konno and Jing Li (1998), ‘Internationally Diversified Investment Using an Integrated Portfolio Model’11. Bing Liang (1999), ‘On the Performance of Hedge Funds’12. Richard Roll and Stephen A. Ross (1984), ‘The Arbitrage Pricing Theory Approach to Strategic Portfolio Planning’PART IIISECURITY CROSS LISTINGS AND MULTINATIONALS 13. Richard A. DeFusco, George C. Philippatos and Dosoung Choi (1988), ‘Risk, Return and International Investment by US Corporations’14. John Doukas and Nickolaos G. Travlos (1988), ‘The Effect of Corporate Multinationalism on Shareholders’ Wealth: Evidence from International Acquisitions’15. Anna D. Martin, Jeff Madura and Aigbe Akhigbe (1999), ‘Economic Exchange Rate Exposure of U.S.-Based MNCs Operating in Europe’16. Dennis T. Officer and J. Ronald Hoffmeister (1987), ‘ADRs: A Substitute for the Real Thing?’17. Leonard Rosenthal (1983), ‘An Empirical Test of the Efficiency of the ADR Market’18. Richard A. DeFusco, George C. Philippatos and Dosoung Choi (1990), ‘Differences in Factor Structures between U.S. Multinational and Domestic Corporations: Evidence from Bilinear Paradigm Tests’19. John S. Howe and Jeff Madura (1990), ‘The Impact of International Listings on Risk: Implications for Capital Market Integration’20. Shelly E. Webb, Dennis T. Officer and Bryan E. Boyd (1995), ‘An Examination of International Equity Markets Using American Depositary Receipts (ADRs)’PART IVINTERNATIONAL FIXED INCOME SECURITIES 21. Gregory Koutmos (1996), ‘Time Varying Risk Premia in Eurocurrency Rates’22. Gikas A. Hardouvelis (1994), ‘The Term Structure Spread and Future Changes in Long and Short Rates in the G7 Countries: Is There a Puzzle?’23. Richard W. Kopcke and Ralph C. Kimball (1999), ‘Inflation-Indexed Bonds: The Dog That Didn't Bark’24. Charles Pigott (1993–1994), ‘International Interest Rate Convergence: A Survey of the Issues and Evidence’25. Peter Kugler (1990), ‘The Term Structure of Euro Interest Rates and Rational Expectations’PART VFOREIGN EXCHANGE MARKETS 26. Craig S. Hakkio and Anne Sibert (1995), ‘The Foreign Exchange Risk Premium: Is It Real?’27. Bernard Dumas and Bruno Solnik (1995), ‘The World Price of Foreign Exchange Risk’28. Richard W. Kopcke (1999), ‘Currency Boards: Once and Future Monetary Regimes?’29. Christopher J. Neely (1994), ‘Realignments of Target Zone Exchange Rate Systems: What Do We Know?’30. Simon Wren-Lewis (1997), ‘The Choice of Exchange Rate Regime’31. Gregory Koutmos (1994), ‘Time Dependent Autocorrelation in EMS Exchange Rates’32. Jeffrey D. Sachs (1996), ‘Economic Transition and the Exchange-Rate Regime’PART VIINTERNATIONAL BANKING 33. John D. Wagster (1996), ‘Impact of the 1988 Basle Accord on International Banks’34. Gary C. Zimmerman (1995), ‘Implementing the Single Banking Market in Europe’35. Fariborz Moshirian (1993), ‘Determinants of International Financial Services’36. Anthony Saunders (1999), ‘Consolidation and Universal Banking’37. Anjan V. Thakor (1999), ‘Information Technology and Financial Services Consolidation’Name Index Volume II AcknowledgementsA preface by the editors to both volumes appear in Volume IIntroduction George Philippatos and Gregory KoutmosPART IGLOBALIZATION OF FINANCIAL MARKETS 1. Peter A. Abken (1991), ‘Globalization of Stock, Futures, and Options Markets’2. G.C. Philippatos, A. Christofi and P. Christofi (1983), ‘The Inter-Temporal Stability of International Stock Market Relationships: Another View’3. Steven L. Heston, K. Geert Rouwenhorst and Roberto E. Wessels (1995), ‘The Structure of International Stock Returns and the Integration of Capital Markets’4. Gregory Koutmos (1996), ‘Modeling the Dynamic Interdependence of Major European Stock Markets’5. François Longin and Bruno Solnik (1995), ‘Is the Correlation in International Equity Returns Constant: 1960–1990?’6. Bala Arshanapalli and John Doukas (1993), ‘International Stock Market Linkages: Evidence from the Pre- and Post-October 1987 Period’7. Philippe Jorion and William N. Goetzmann (1999), ‘Global Stock Markets in the Twentieth Century’8. M. Wayne Marr, John L. Trimble and Raj Varma (1991), ‘On the Integration of International Capital Markets: Evidence from Euroequity Offerings’PART IIINTERACTIONS OF FINANCIAL MARKETS AND PRICE DYNAMICS 9. George C. Philippatos, Efi Pilarinu and A.G. Malliaris (1993), ‘Chaotic Behavior in Prices of European Equity Markets: A Comparative Analysis of Major Economic Regions’10. Gregory Koutmos and G. Geoffrey Booth (1995), ‘Asymmetric Volatility Transmission in International Stock Markets’11. Johan Knif and Seppo Pynnönen (1999), ‘Local and Global Price Memory of International Stock Markets’12. Gregory Koutmos (1997), ‘Feedback Trading and the Autocorrelation Pattern of Stock Returns: Further Empirical Evidence’13. Robert F. Engle and Raul Susmel (1993), ‘Common Volatility in International Equity Markets’PART IIIEMERGING MARKETS14. John Mullin (1993), ‘Emerging Equity Markets in the Global Economy’15. Gregory Koutmos (1997), ‘Do Emerging and Developed Stock Markets Behave Alike? Evidence from Six Pasific Basin Stock Markets’16. Gregory Koutmos (1999), ‘Asymmetric Price and Volatility Adjustments in Emerging Asian Stock Markets’17. Richard A. DeFusco, John M. Geppert and George P. Tsetsekos (1996), ‘Long-Run Diversification Potential in Emerging Stock Markets’18. Claude B. Erb, Campbell R. Harvey and Tadas E. Viskanta (1999), ‘New Perspectives on Emerging Market Bonds’19. Geet Bekaert and Michael S. Urias (1999), ‘Is There a Free Lunch in Emerging Market Equities?’20. Vihang Errunza, Lemma W. Senbet and Ked Hogan (1998), ‘The Pricing of Country Funds from Emerging Markets: Theory and Evidence’PART IVINTERNATIONAL DERIVATIVE SECURITIES 21. Tribhuvan N. Puri and George C. Philippatos (1993), ‘Equilibrium Pricing Functions of Foreign Exchange Forward, Futures, and Option Contracts’22. Darrell Duffie (1999), ‘Credit Swap Valuation’23. Lixin Wu, Yue Kuen Kwok and Hong Yu (1999), ‘Asian Options with the American Early Exercise Feature’24. Ajay Dravid, Matthew Richardson and Tong-sheng Sun (1994), ‘The Pricing of Dollar-Denominated Yen/DM Warrants’25. Merton H. Miller (1995), ‘Do We Really Need More Regulation of Financial Derivatives?’PART VEUROPEAN MONETARY UNION AND IMPLICATIONS FOR FINANCIAL MARKETS26. Stan Beckers (1999), ‘Investment Implications of a Single European Capital Market’27. Anil K. Kashyap and Jeremy C. Stein (1997), ‘The Role of Banks in Monetary Policy: A Survey with Implications for the European Monetary Union’28. Daniel Gros (1998), ‘EMU and Capital Markets: Big Bang or Glacier?’PART VIINTERNATIONAL FINANCIAL CRISES29. George C. Philippatos and K.G. Viswanathan (1991), ‘Brazilian Debt Crisis and Financial Markets: An Analysis of Major Economic Events Leading to the Brazilian Debt Moratorium’30. Richard Roll (1988), ‘The International Crash of October 1987’31. Merton H. Miller (1998), ‘The Current Southeast Asia Financial Crisis’32. Steven B. Kamin (1999), ‘The Current International Financial Crisis: How Much is New?’33. Joseph E. Stiglitz (1999), ‘Reforming the Global Economic Architecture: Lessons from Recent Crises’Name Index
    Hoppa över listan

    Du kanske också är intresserad av

    Andrew W. Lo - Market Efficiency, Inbunden
    Del 3

    Market Efficiency

    Andrew W. Lo

    Inbunden, 1997

    10 061 kr

    Peter J. Boettke, Peter T. Leeson - Legacy of Ludwig von Mises, Inbunden
    Del 11

    Legacy of Ludwig von Mises

    Peter J. Boettke, Peter T. Leeson

    Inbunden, 2006

    10 061 kr

    Geert Bekaert, Campbell R. Harvey - Emerging Markets, Inbunden
    Del 14

    Emerging Markets

    Geert Bekaert, Campbell R. Harvey

    Inbunden, 2004

    6 444 kr

    Stephen A. Ross - Debt Market, Inbunden
    Del 5

    Debt Market

    Stephen A. Ross

    Inbunden, 2000

    12 950 kr

    Lucio Sarno, Mark P. Taylor - New Developments in Exchange Rate Economics, Inbunden
    Del 148

    New Developments in Exchange Rate Economics

    Lucio Sarno, Mark P. Taylor

    Inbunden, 2002

    10 061 kr

    Michael J. Brennan - Empirical Corporate Finance, Inbunden
    Del 7

    Empirical Corporate Finance

    Michael J. Brennan

    Inbunden, 2001

    18 937 kr

    Hersh Shefrin - Behavioral Finance, Inbunden
    Del 10

    Behavioral Finance

    Hersh Shefrin

    Inbunden, 2001

    17 103 kr

    Kunal Sen - Institutions and Governance in Developing Countries, Inbunden
    Del 281

    Institutions and Governance in Developing Countries

    Kunal Sen

    Inbunden, 2013

    10 061 kr

    Werner De Bondt - Financial Accounting and Investment Management, Inbunden
    Del 19

    Financial Accounting and Investment Management

    Werner De Bondt

    Inbunden, 2009

    9 870 kr

    George M. Constantinides, A.G. Malliaris - Options Markets, Inbunden
    Del 6

    Options Markets

    George M. Constantinides, A.G. Malliaris

    Inbunden, 2001

    15 892 kr