Gregoriou, Greg N., (1956-)
概要
作品: | 1 作品在 20 項出版品 1 種語言 |
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書目資訊
Funds of hedge funds = performance, assessment, diversification, and statistical properties /
by:
Gregoriou, Greg N., (1956-); MyiLibrary.
(書目-電子資源)
Mergers and acquisitions = current issues /
by:
Gregoriou, Greg N., (1956-); Neuhauser, Karyn.; Palgrave Connect (Online service)
(書目-電子資源)
Financial econometrics modeling
by:
Gregoriou, Greg N., (1956-); Pascalau, Razvan.; Palgrave Connect (Online service)
(書目-電子資源)
Financial econometrics modeling = market microstructure, factor models and financial risk measures /
by:
Pascalau, Razvan.; Gregoriou, Greg N., (1956-); Palgrave Connect (Online service)
(書目-電子資源)
Best practices in management accounting
by:
Finch, Nigel, (1969-); Gregoriou, Greg N., (1956-)
(書目-電子資源)
Nonlinear financial econometrics = Forecasting models, computational and Bayesian models /
by:
Gregoriou, Greg N., (1956-); Pascalau, Razvan.; Palgrave Connect (Online service)
(書目-電子資源)
Rethinking valuation and pricing models = lessons learned from the crisis and future challenges /
by:
Gregoriou, Greg N., (1956-); Hoppe, Christian.; Wehn, Carsten S.
(書目-電子資源)
Hedge fund replication
by:
Gregoriou, Greg N., (1956-); Kooli, Maher.; Palgrave Connect (Online service)
(書目-電子資源)
Pension fund risk management = financial and actuarial modeling /
by:
Gregoriou, Greg N., (1956-); Masala, Giovanni Batista.; Micocci, Marco.
(書目-電子資源)
Venture capital in Europe
by:
Kr�aussl, Roman.; Gregoriou, Greg N., (1956-); ScienceDirect (Online service); Kooli, Maher.
(書目-電子資源)
, [edt]
The handbook of trading = strategies for navigating and profiting from currency, bond, and stock markets /
by:
Gregoriou, Greg N., (1956-)
(書目-電子資源)
Asset allocation and international investments
by:
Gregoriou, Greg N., (1956-); MyiLibrary.
(書目-電子資源)
Diversification and portfolio management of mutual funds
by:
Gregoriou, Greg N., (1956-); MyiLibrary.
(書目-電子資源)
Initial public offerings = an international perspective /
by:
Gregoriou, Greg N., (1956-); ScienceDirect (Online service)
(書目-電子資源)
Nonlinear financial econometrics.. Markhov switching models, persistence and nonlinear cointegration
by:
Pascalau, Razvan.; Gregoriou, Greg N., (1956-)
(書目-電子資源)
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主題
BUSINESS & ECONOMICS / Accounting / Managerial
Kapitaalmarkt.
IPO's.
BUSINESS & ECONOMICS- Investments & Securities
Portfolio management
Managerial accounting.
Structural adjustment (Economic policy)- Developing countries.
Pension trusts.
Risk management.
Investments, Foreign.
Venture capital- Europe.
Valuation- Econometric models.
Hedge funds.
Globalization- Economic aspects.
Prices- Econometric models.
International economic integration.
Econometrics.
Investment analysis
Risk-taking (Psychology)
BUSINESS & ECONOMICS / Investments & Securities.
Investment analysis.
Interest rates- Forecasting
Mutual funds.
Banking law.
Investment analysis- Mathematical models.
Financial crises.
Stock exchanges- Developing countries.
Banks and banking- Government policy.
Corporations- Finance
Financial risk management.
Going public (Securities)
Consolidation and merger of corporations.
Bank failures.
BUSINESS & ECONOMICS / Finance.
Investments
Portfolio management.
Hedge funds- Evaluation.
Markov processes.
Investments.
Finance- Mathematical models.
Financial risk management- Mathematical models.
Asset allocation.
Effectenbeurzen.
Corporations- Valuation.
Corporations- Valuation
Asset allocation
Speculation.
Investments- Developing countries.
Short selling.
BUSINESS & ECONOMICS / Management.