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ThumbnailNumberIssue Date TitleAuthor(s)
Working Papers;11_2517-Jan-2012 Risk and Reciprocity Over the Mobile Phone Network: Evidence from RwandaBlumenstock, Joshua; Eagle, Nathan; Fafchamps, Marcel
FIN-94-051Jan-1994 Risk and Return: An Equilibrium ApproachWhitelaw, Robert F.
FIN-95-03327-Feb-1995 Risk and Return: An Equilibrium ApproachWhitelaw, Robert F.
S-AM-00-05Oct-2000 Risk and Return: Some New EvidenceGuo, Hui; Whitelaw, Robert
S-MF-00-08Oct-2000 Risk and Return: Some New EvidenceGuo, Hui; Whitelaw, Robert
FIN-00-020Oct-2000 Risk and Return: Some New Evidence.Guo, Hui; Whitelaw, Robert F.
NET Institute Working Paper;04-032004 Risk Attitudes and Internet Search Engines: Theory and Experimental EvidenceGarcia-Gallego, Aurora - Universitat Jaume I; Georgantzis, Nikolaos - Universitat Jaume I; Pereira, Pedro - Autoridade da Concorrencia; Pernias-Cerrillo, Jose C. - Universitat Jaume I
S-CDM-01-10Nov-2001 Risk Aversion and Allocation to Long-Term BondsWachter, Jessica A.
FIN-01-067Nov-2001 Risk Aversion and Allocation to Long-Term BondsWachter, Jessica
S-MF-01-05Nov-2001 Risk Aversion and Allocation to Long-Term BondsWachter, Jessica A.
FIN-11-00918-Nov-2011 Risk Choice Under High-Water MarksDrechsler, Itamar
IS-91-37Nov-1991 RISK MANAGEMENT AND DATA QUALITY SELECTION: AN INFORMATION ECONOMICS APPROACHBansal, Arun; Kauffman, Robert J.
S-CDM-01-04Oct-2001 Risk Management with BenchmarkingBasak, Suleyman; Shapiro, Alex; Tepla, Lucie
SC-AM-03-16Dec-2003 RISK MANAGEMENT WITH BENCHMARKINGBasak, Suleyman; Shapiro, Alex; Tepla, Lucie
FIN-01-015Oct-2001 Risk Management with BenchmarkingBasak, Suleyman; Shapiro, Alex; Tepla, Lucie
S-AM-01-01Oct-2001 Risk Management with BenchmarkingBasak, Suleyman
FIN-03-048Dec-2003 Risk Management with BenchmarkingBasak, Suleyman; Shapiro, Alex; Tepla, Lucie
S-DRP-01-15Oct-2001 Risk Management with BenchmarkingBasak, Suleyman; Shapiro, Alex; Tepla, Lucie
FIN-01-01321-Sep-2001 Risk Management with Derivatives by Dealers and Market Quality in Government Bond MarketsNaik, Narayan Y.; Yadav, Pradeep K.
S-DRP-01-1221-Sep-2001 Risk Management with Derivatives by Dealers and Market Quality in Government Bond MarketsNaik, Narayan Y.; Yadav, Pradeep K.
Showing results 10428 to 10447 of 12455
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