Financial Review, 0732-8516

Journal

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  1. 2017
  2. Foreign Institutional Investment, Ownership, and Liquidity: Real and Informational Frictions

    Ding, M., Birger Nilsson & Suardi, S., 2017 Feb 1, In : Financial Review. 52, 1, p. 101-144 44 p.

    Research output: Contribution to journalArticle

  3. 2013
  4. Financial and economic integration’s impact on Asian equity markets' sensitivity to external shocks

    Hossein Asgharian & Nossman, M., 2013, In : Financial Review. 48, 2, p. 343-363

    Research output: Contribution to journalArticle

  5. 2010
  6. Volatility Risk Premium, Risk Aversion and the Cross-Section of Stock Returns

    Anders Vilhelmsson & Nyberg, P., 2010, In : Financial Review. p. 1079-1100

    Research output: Contribution to journalArticle

  7. 2006
  8. The Effect of Information Quality on Optimal Portfolio Choice

    Frederik Lundtofte, 2006, In : Financial Review. 41, 2, p. 157-185

    Research output: Contribution to journalArticle