| Thumbnail | Number | Issue Date | Title | Author(s) |
| NET Institute Working Paper;04-03 | 2004 | Risk Attitudes and Internet Search Engines: Theory and Experimental Evidence | Garcia-Gallego, Aurora - Universitat Jaume I; Georgantzis, Nikolaos - Universitat Jaume I; Pereira, Pedro - Autoridade da Concorrencia; Pernias-Cerrillo, Jose C. - Universitat Jaume I |
| S-CDM-01-10 | Nov-2001 | Risk Aversion and Allocation to Long-Term Bonds | Wachter, Jessica A. |
| FIN-01-067 | Nov-2001 | Risk Aversion and Allocation to Long-Term Bonds | Wachter, Jessica |
| S-MF-01-05 | Nov-2001 | Risk Aversion and Allocation to Long-Term Bonds | Wachter, Jessica A. |
| FIN-11-009 | 18-Nov-2011 | Risk Choice Under High-Water Marks | Drechsler, Itamar |
| IS-91-37 | Nov-1991 | RISK MANAGEMENT AND DATA QUALITY SELECTION: AN INFORMATION ECONOMICS APPROACH | Bansal, Arun; Kauffman, Robert J. |
| S-CDM-01-04 | Oct-2001 | Risk Management with Benchmarking | Basak, Suleyman; Shapiro, Alex; Tepla, Lucie |
| SC-AM-03-16 | Dec-2003 | RISK MANAGEMENT WITH BENCHMARKING | Basak, Suleyman; Shapiro, Alex; Tepla, Lucie |
| FIN-01-015 | Oct-2001 | Risk Management with Benchmarking | Basak, Suleyman; Shapiro, Alex; Tepla, Lucie |
| S-AM-01-01 | Oct-2001 | Risk Management with Benchmarking | Basak, Suleyman |
| FIN-03-048 | Dec-2003 | Risk Management with Benchmarking | Basak, Suleyman; Shapiro, Alex; Tepla, Lucie |
| S-DRP-01-15 | Oct-2001 | Risk Management with Benchmarking | Basak, Suleyman; Shapiro, Alex; Tepla, Lucie |
| FIN-01-013 | 21-Sep-2001 | Risk Management with Derivatives by Dealers and Market Quality in
Government Bond Markets | Naik, Narayan Y.; Yadav, Pradeep K. |
| S-DRP-01-12 | 21-Sep-2001 | Risk Management with Derivatives by Dealers and Market Quality in
Government Bond Markets | Naik, Narayan Y.; Yadav, Pradeep K. |
| S-CDM-00-10 | 27-Sep-2000 | Risk Management, Capital Structure and Capital Budgeting in Financial Institutions | Cebenoyan, A. Sinan; Strahan, Philip E. |
| S-FI-00-05 | 27-Sep-2000 | Risk Management, Capital Structure and Capital Budgeting in Financial Institutions | Cebenoyan, A. Sinan; Strahan, Philip E. |
| FIN-00-044 | 27-Sep-2000 | Risk Management, Capital Structure and Capital Budgeting in Financial Institutions | Cebenoyan, A. Sinan; Strahan, Philip E. |
| FIN-07-033 | 14-Feb-2007 | Risk Premia in International Equity Markets Revisited | Brown, Stephen J.; Hiraki, Takato; Arakawa, Kiyoshi; Ohno, Saburo |
| FIN-08-021 | 6-Feb-2009 | Risk Premia in International Equity Markets Revisited | Brown, Stephen; Hiraki, Takato; Arakawa, Kiyoshi; Ohno, Saburo |
| - | 2005 | Risk Sharing and Asset Prices: Evidence From a Natural Experiment | Henry, Peter; Chari, Anusha |