The Risk-Return Relationship and Financial Crises
Year of publication: |
2016
|
---|---|
Authors: | Ghysels, Eric |
Other Persons: | Plazzi, Alberto (contributor) ; Valkanov, Rossen I. (contributor) |
Publisher: |
[2016]: [S.l.] : SSRN |
Subject: | Finanzkrise | Financial crisis | Risiko | Risk | Kapitaleinkommen | Capital income |
Extent: | 1 Online-Ressource (20 p) |
---|---|
Type of publication: | Book / Working Paper |
Language: | English |
Notes: | Nach Informationen von SSRN wurde die ursprüngliche Fassung des Dokuments May 6, 2016 erstellt |
Other identifiers: | 10.2139/ssrn.2776702 [DOI] |
Classification: | G10 - General Financial Markets. General |
Source: | ECONIS - Online Catalogue of the ZBW |
-
Risk and return in international corporate bond markets
Bekaert, Geert, (2020)
-
Low risk and high return : how emotions shape expectations on the stock market
Kempf, Alexander, (2009)
-
Risk and return in convertible arbitrage : evidence from the convertible bond market
Agarwal, Vikas, (2004)
- More ...
-
Valuation in US commercial real estate
Ghysels, Eric, (2007)
-
Ghysels, Eric, (2011)
-
Forecasting real estate prices
Ghysels, Eric, (2013)
- More ...