Economics, Econometrics and Finance
Volatility
100%
Welfare
90%
Asset Pricing
90%
Pricing
90%
Spillover Effect
90%
Equilibrium Model
90%
Portfolio Choice
67%
Return
64%
Inflation
63%
Stock
60%
Measure of Dispersion
51%
Economics
48%
Regime Switching
48%
CAPM
48%
Relative Cost
45%
Empirical Finance
45%
Share
45%
Skewness
45%
Ownership
45%
Statistical Dispersion
45%
Prospect Theory
45%
Energy Economics
45%
Investment
45%
Greenhouse Gas Emissions
33%
Utility Function
22%
Hedging
22%
Institutional Investor
22%
Investors
20%
Econometrics
19%
Macroeconomics
19%
Shock
16%
Enterprise
15%
Risk Premium
12%
Consumption
11%
Emerging Economies
7%
Information
7%
Industry
7%
Financial Crisis
7%
Stock Exchange
7%
Yield Curve
6%
Macroeconomic Variable
6%
Metaheuristics
6%
Benefits
6%