Three essays on real estate risk and return
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Disclosure distance and earnings announcement returns
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Which of stock returns or dividend growth is predictable? A defense of stock return predictability
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Essays in tail risks
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Essays in fallout risk and corporate credit risk
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Housing consumption-based asset pricing and residential mortgage default risk
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High-frequency Kelly criterion and fat tails: gambling with an edge
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Macroeconomic conditions, systematic risk factors, and the time series dynamics of commercial mortgage credit risk
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Expectation dynamics and stock returns
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Essays in empirical asset pricing
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Precipitation triggered landslide risk assessment and relative risk modeling using cached and real-time data
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Risk approaches and standards used in hospitals: a survey of industry views
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Risk management and recalls: a survey of medical device manufacturers
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How project teams conceive of and manage pre-quantitative risk
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A robust model for disaster risk and decision analysis
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Risk transfer modeling among hierarchically associated stakeholders in development of space systems
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Environmental risk factors of Multiple Sclerosis: a twin study
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Evolution of returns to scale and investor flows during the life cycle of active asset management
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Intertidal substrate rugosity and species diversity
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Stochastic multi-hazard risk analysis of coastal infrastructure
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Accrual quality and expected returns: the importance of controlling for cash flow shocks
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Strategic risk-taking in the choral rehearsal
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Two essays on the mutual fund industry and an application of the optimal risk allocation model in the real estate market
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Pricing OTC energy derivatives: credit, debit, funding value adjustment, and wrong way risk
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The risks and rewards of city management: how city managers evaluate the nature of the job and compensation
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