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  • weitzman2000-2019(40篇).rar
       weitzman论文合集2000-2019

    本附件包括:
    • Weitzman-2010-How should the distant future be discounted when discount rates are uncertain.pdf
    • Weitzman-2010-Risk-adjusted gamma discounting.pdf
    • Weitzman-2010-Insurance for a warming planet.pdf
    • Weitzman-2010-Some Dynamic Economic Consequences of the Climate Sensitivity Inference Dilemma.pdf
    • Weitzman-2010-WHAT IS THE “DAMAGES FUNCTION” FOR GLOBAL WARMING.pdf
    • Weitzman-2011-Fat-Tailed Uncertainty in the Economics of Catastrophic Climate Change).pdf
    • Weitzman-2012-GHG Targets as Insurance Against Catastrophic Climate Damages.pdf
    • Weitzman-2012-The Ramsey Discounting Formula for a Hidden-State Stochastic Growth Process.pdf
    • Weitzman-2013-A Precautionary Tale of Uncertain Tail Fattening.pdf
    • Weitzman-2013-Determining Benefi ts and Costs for Future Generations.pdf
    • Weitzman-2013-Tail-Hedge Discounting and the Social Cost of Carbon.pdf
    • Weitzman-2013-The Geoengineered Planet.pdf
    • Weitzman-2014-Can Negotiating a Uniform Carbon Price Help to Internalize the Global Warming Externality.pdf
    • Weitzman-2014-Fat Tails and the Social Cost of Carbon.pdf
    • Weitzman-2014-Should Governments Use a Declining Discount Rate in Project Analysis.pdf
    • Weitzman-2015-Internalizing the Climate Externality Can a Uniform Price Commitment Help.pdf
    • Weitzman-2015-the_scandinavian_journal_of_economics.pdf
    • Weitzman-2017- A Tight Connection Among Wealth, Income, Sustainability, and Accounting in an Ultra-Simplified Setting.pdf
    • Weitzman-2017-On a World Climate Assembly and the Social Cost of Carbon.pdf
    • Weitzman-2017-Voting on Prices vs. Voting on Quantities in a World Climate Assembly.pdf
    • Weitzman-2018-Potentially large equilibrium climate sensitivity tail uncertainty.pdf
    • Weitzman-2019-Prices versus Quantities across Jurisdictions.pdf
    • Weitzman-2000-An 'Economics Proof' of the Supporting Hyperplane Theorem.pdf
    • Weitzman-2000-Economic Profitability Versus Ecological Entropy.pdf
    • Weitzman-2000-The Linearized Hamiltonian as Comprehensive NDP.pdf
    • Weitzman-2001-A Contribution to the Theory of Welfare Accounting.pdf
    • Weitzman-2001-Does NNP Growth Indicate Welfare Improvement.pdf
    • Weitzman-2001-Gamma Discounting.pdf
    • Weitzman-2001-Harvesting versus Biodiversity An Occam’s Razor version.pdf
    • Weitzman-2002- On the Implications of Endogenous Resistance to Medications..pdf
    • Weitzman-2002-Landing Fees vs. Harvest Quotas with Uncertain Fish Stocks.pdf
    • Weitzman-2003- Value of Treatment Heterogeneity for Infectious Diseases.pdf
    • Weitzman-2004-Stochastic income and wealth.pdf
    • Weitzman-2005-The bose model and national income.pdf
    • Weitzman-2006-Trees vs. Fish, or Discrete vs. Continuous Havesting.pdf
    • Weitzman-2007-A Review of The Stern Review on the Economics of Climate Change.pdf
    • Weitzman-2007-Subjective Expectations and Asset-Return Puzzles.pdf
    • Weitzman-2009- On Modeling and Interpreting the Economics of Catastrophic Climate Change..pdf
    • Weitzman-2009-Additive Damages, Fat-Tailed Climate Dynamics,and Uncertain Discounting.pdf
    • Weitzman-2009-Some Basic Economics of Extreme Climate Change.pdf
  • 15.61 MB
  • 2020-8-17
  • weitzman1965-1999(75篇).rar
       weitzman论文合集1965-1999

    本附件包括:
    • Weitzman-1999-Pricing the Limits to Growth from Minerals Depletion.pdf
    • Weitzman-1965-Utility Analysis and Group Behavior An Empirical Study.pdf
    • Weitzman-1967-On Choosing an Optimal Technology.pdf
    • Weitzman-1968-A Model of the Demand for Money by Firms Comment.pdf
    • Weitzman-1970-Iterative Multi-Level Planning with Production Targets.pdf
    • Weitzman-1970-Optimal Growth with Scale Economies in the Creation of Overhead Capital.pdf
    • Weitzman-1970-Soviet Postwar Economic Growth and Capital Labor Substitution.pdf
    • Weitzman-1971-A Branch and Bound Algorithm for Zero-One Mixed Integer Programming Problems..pdf
    • Weitzman-1971-Duality Theory of Convex Programming for Infinite Horizon Economic Models.pdf
    • Weitzman-1971-Material Balances under Uncertainty.pdf
    • Weitzman-1971-Shiftable vs. Non-Shiftable Capital A Synthesis.pdf
    • Weitzman-1973-Duality Theory for Infinite Horizon Convex Models.pdf
    • Weitzman-1974- A Mathematical Model of Enclosures.pdf
    • Weitzman-1974-Free Access vs. Private Ownership as Alternative Systems for Managing Common Property.pdf
    • Weitzman-1974-Prices vs. Quantities.pdf
    • Weitzman-1975-A Marxian Model of Enclosures.pdf
    • Weitzman-1976-OPEC and Monopoly Price of World Oil.pdf
    • Weitzman-1976-The New Soviet Incentive Model..pdf
    • Weitzman-1976-The New Soviet Incentive Model.pdf
    • Weitzman-1976-The Optimal Development of Resource Pools.pdf
    • Weitzman-1977-Is the Price System or Rationing More Efficient in Getting a Commodity to Those Who Need it Most.pdf
    • Weitzman-1978- Manove M. Aggregation for Material Balances.pdf
    • Weitzman-1978-Aggregation for Material Balances.pdf
    • Weitzman-1978-Optimal Rewards for Economic Regulation.pdf
    • Weitzman-1978-Regulatory Strategies for Pollution Control.pdf
    • Weitzman-1979-Optimal Search for the Best Alternative.pdf
    • Weitzman-1979-Technology Transfer to the USSR An Econometric Analysis.pdf
    • Weitzman-1980-Efficient Incentive Contracts.pdf
    • Weitzman-1980-The ‘Rachet Principle’ and Performance Incentives.pdf
    • Weitzman-1981-Funding Criteria for Research, Development, and Exploration Projects.pdf
    • Weitzman-1981-Sequential R&D Strategy for Synfuels.pdf
    • Weitzman-1982-Asymmetries in Price and Quantity Adjustments by the Competitive Industry.pdf
    • Weitzman-1982-Increasing Returns and the Foundations of Unemployment Theory.pdf
    • Weitzman-1983-Contestable Markets An Uprising in the Theory of Industry Structure Comment.pdf
    • Weitzman-1983-Industrial Production.pdf
    • Weitzman-1983-On the Meaning of Comparative Factor Productivity.pdf
    • Weitzman-1983-Some Macroeconomic Implications of Alternative Compensation Systems.pdf
    • Weitzman-1985-Increasing Returns and the Foundations of Unemployment Theory An Explanation.pdf
    • Weitzman-1985-Profit Sharing as Macroeconomic Policy.pdf
    • Weitzman-1985-The Simple Macroeconomics of Profit Sharing.pdf
    • Weitzman-1986-Macroeconomic Implications of Profit Sharing.pdf
    • Weitzman-1986-The Share Economy Symposium A Reply.pdf
    • Weitzman-1987-Bonuses and Employment in Japan.pdf
    • Weitzman-1987-Employment and Profit Sharing.pdf
    • Weitzman-1987-Macroeconomic Aspects of Profit Sharing..pdf
    • Weitzman-1987-Share Arrangements and Macroeconomics.pdf
    • Weitzman-1987-Steady State Unemployment Under Profit Sharing.pdf
    • Weitzman-1988-Comments on Can the Share Economy Conquer Stagflation.pdf
    • Weitzman-1988-Consumer's Surplus as an Exact Approximation When Prices are Appropriately Deflated.pdf
    • Weitzman-1988-Increasing Returns and the Foundations of Unemployment Theory Rejoinder.pdf
    • Weitzman-1989-A Theory of Wage Dispersion and Job Market Segmentation.pdf
    • Weitzman-1989-The Promise of Profit Sharing.pdf
    • Weitzman-1990-Profit Sharing and Productivity.pdf
    • Weitzman-1990-Reflections on Macroeconomics and Share Systems.pdf
    • Weitzman-1991-A Proposal for Using Incentive Pre-Commitments in Public Enterprise Funding.pdf
    • Weitzman-1991-Price Distortion and Shortage Deformation or What Happened to the Soap.pdf
    • Weitzman-1992-On Diversity.pdf
    • Weitzman-1993-Economic Transition Can Theory Help.pdf
    • Weitzman-1993-What to Preserve An Application of Diversity Theory to Crane Conservation.pdf
    • Weitzman-1994-Chinese Township-Village Enterprises as Vaguely Defined Cooperatives.pdf
    • Weitzman-1994-Monopolistic Competition with Endogenous Specialization.pdf
    • Weitzman-1994-On the 'Environmental' Discount Rate.pdf
    • Weitzman-1995-Diversity Functions.pdf
    • Weitzman-1995-Incentive Effects of Profit Sharing and Employee Share Ownership Theory and Evidence.pdf
    • Weitzman-1996-Competition and the Evolution of Efficiency.pdf
    • Weitzman-1996-Hybridizing Growth Theory.pdf
    • Weitzman-1996-Patterns of Behavior in Endangered Species Preservation.pdf
    • Weitzman-1997- On the Welfare Significance of Green Accounting as Taught by Parable.pdf
    • Weitzman-1997-Sustainability and Technical Progress.pdf
    • Weitzman-1998-Conflicts and Choices in Biodiversity Preservation.pdf
    • Weitzman-1998-On the Welfare Significance of National Product under Interest-Rate Uncertainty.pdf
    • Weitzman-1998-Recombinant Growth.pdf
    • Weitzman-1998-The Noah's Ark Problem.pdf
    • Weitzman-1998-Why the Far-Distant Future Should be Discounted at its Lowest Possible Rate.pdf
    • Weitzman-1999-Just Keep Discounting, But.pdf
  • 50.22 MB
  • 2020-8-17
  • 基金折溢价率.zip

    本附件包括:
    • QX_FundDiscountPremium1.xlsx
    • QX_FundDiscountPremium1[DES][xlsx].txt
    • QX_FundDiscountPremium[DES][xlsx].txt
    • QX_FundDiscountPremium.xlsx
  • 64.63 MB
  • 2020-3-23
  • 基金折溢价率表.zip

    本附件包括:
    • QX_FundDiscountPremium.xlsx
    • QX_FundDiscountPremium1.xlsx
    • QX_FundDiscountPremium1[DES][xlsx].txt
    • QX_FundDiscountPremium[DES][xlsx].txt
    • 版权声明.pdf
  • 65.1 MB
  • 2020-3-22
  • Nordhaus2000-2018合集.zip

    本附件包括:
    • Arrow, Kenneth J. & Cropper, Maureen L., 2012. _How Should Benefits and Costs Be Discounted in an Intergenerational Context_ The Views of an Expert Panel,.pdf
    • Kenneth Gillingham & William D. Nordhaus, 2015. _Modeling Uncertainty in Climate Change_ A Multi-Model Comparison,.pdf
    • Nordhaus, William D., 2005. Economics, Politics and the 2004 Election Electoral Victory and Statistical Defeat.pdf
    • Nordhaus, William D., 2005. Schumpeterian Profits and the Alchemist Fallacy Revised.pdf
    • Richard S. J. Tol & Kenneth J. Arrow , 2013. _How Should Benefits and Costs Be Discounted in an Intergenerational Context_.pdf
    • William D. Nordhaus Andrew Moffat, 2017. Evolution of Modeling of the Economics of Global Warming Changes in the DICE model.pdf
    • William D. Nordhaus & Andrew Moffat, 2017. _A Survey of Global Impacts of Climate Change_ Replication, Survey Methods, and a Statistical Analysis,_.pdf
    • William D. Nordhaus & John R. Oneal & Bruce Russett, 2009. The Effects of the Security Environment on Military Expenditures Pooled Analyses of 165 Countries, 1950-2000.pdf
    • William D. Nordhaus & Xi Chen, 2012. Improved Estimates of Using Luminosity as a Proxy for Economic Statistics New Results and Estimates of Precision.pdf
    • William D. Nordhaus, 2000. New Data and Output Concepts for Understanding Productivity Trends.pdf
    • William D. Nordhaus, 2000. Alternative Methods for Measuring Productivity Growth.pdf
    • William D. Nordhaus, 2001. The Progress of Computing,.pdf
    • William D. Nordhaus, 2001. _Productivity Growth and the New Economy.pdf
    • William D. Nordhaus, 2002. The Mildest Recession Outputs, Profits, and Stock Prices as the U.S. Emerges from the 2001 Recession.pdf
    • William D. Nordhaus, 2002. The Economic Consequences of a War with Iraq.pdf
    • William D. Nordhaus, 2002. _The Health of Nations_ The Contribution of Improved Health to Living Standards.pdf
    • William D. Nordhaus, 2004. Retrospective on the Postwar Productivity Slowdown.pdf
    • William D. Nordhaus, 2004. _Schumpeterian Profits in the American Economy_ Theory and Measurement.pdf
    • William D. Nordhaus, 2006. _Baumol's Diseases_ A Macroeconomic Perspective.pdf
    • William D. Nordhaus, 2006. _The Economics of Hurricanes in the United States,.pdf
    • William D. Nordhaus, 2006. _The _Stern Review_ on the Economics of Climate Change.pdf
    • William D. Nordhaus, 2009. Alternative Policies and Sea-Level Rise in the RICE-2009 Model.pdf
    • William D. Nordhaus, 2009. Measurement of Income with Time Use with Applications to Hedonic Indicators of Happiness and Misery.pdf
    • William D. Nordhaus, 2009. _An Analysis of the Dismal Theorem.pdf
    • William D. Nordhaus, 2009. _The Perils of the Learning Model For Modeling Endogenous Technological Change.pdf
    • William D. Nordhaus, 2011. Integrated Economic and Climate Modeling,.pdf
    • William D. Nordhaus, 2011. Estimates of the Social Cost of Carbon Background and Results from the RICE-2011 Model,.pdf
    • William D. Nordhaus, 2015. _Are We Approaching an Economic Singularity_ Information Technology and the Future of Economic Growth.pdf
    • William D. Nordhaus, 2016. _Projections and Uncertainties About Climate Change in an Era of Minimal Climate Policies.pdf
    • William D. Nordhaus, 2017. _Evolution of Assessments of the Economics of Global Warming_ Changes in the DICE model, 1992 – 2017.pdf
    • William D. Nordhaus, 2018. _Global Melting_ The Economics of Disintegration of the Greenland Ice Sheet,_.pdf
    • William Nordhaus, 2004. _Retrospective on the 1970s Productivity Slowdown.pdf
    • William Nordhaus, 2005. _Life After Kyoto_ Alternative Approaches to Global Warming.pdf
    • William Nordhaus, 2005. _The Sources of the Productivity Rebound and the Manufacturing Employment Puzzle.pdf
    • Xi Chen & William D. Nordhaus, 2010. _The Value of Luminosity Data as a Proxy for Economic Statistics.pdf
  • 16.4 MB
  • 2018-10-16
  • instrument technical doc.zip

    本附件包括:
    • bond_futures.pdf
    • bond_futures_options.pdf
    • bond_options.pdf
    • BonusCertificates.pdf
    • CapitalProtection.pdf
    • CapitalProtectionWithCoupon.pdf
    • caps_floors_and_collars.pdf
    • cash.pdf
    • cash_flow_stream.pdf
    • cds_index_option.pdf
    • cds_options.pdf
    • CliquetOption.pdf
    • CMS_spread_options.pdf
    • coco.pdf
    • commodity.pdf
    • commodity_average_rate_options.pdf
    • commodity_future_average_rate_options.pdf
    • commodity_future_options.pdf
    • commodity_futures.pdf
    • commodity_options.pdf
    • commodity_swaps.pdf
    • CommodityAverageRateOptionMR.pdf
    • CommodityDoubleBarrier.pdf
    • CommodityFutureGenericBarrierOption.pdf
    • CommodityFutureOptionMR.pdf
    • CommodityFuturesSpreadOptionMR.pdf
    • CommodityGenericBarrierOption.pdf
    • CommodityIndexSwapFutures.pdf
    • CommodityOptionMR.pdf
    • CommodityRollingFuturesAverageRateOption.pdf
    • CommoditySingleBarrier.pdf
    • ContingentSwaption.pdf
    • convertible_bond.pdf
    • convertible_bond_option.pdf
    • credit_default_swaps.pdf
    • credit_default_swaps_revisited.pdf
    • credit_index.pdf
    • credit_index_revisited.pdf
    • DiscountCertificates.pdf
    • DSF.pdf
    • DualAssetOption.pdf
    • DualBinaryOption.pdf
    • equity.pdf
    • equity_average_rate_options.pdf
    • equity_future_options.pdf
    • equity_futures.pdf
    • equity_options.pdf
    • equity_swaps.pdf
    • EquityCorrelationSwap.pdf
    • EquityDoubleBarrier.pdf
    • EquityGenericBarrierOption.pdf
    • EquitySingleBarrier.pdf
    • EquityVarianceSwap.pdf
    • forward_vol_agreement.pdf
    • fra.pdf
    • fund.pdf
    • fx_average_rate_options.pdf
    • FX_digital_option.pdf
    • fx_forward.pdf
    • fx_futures.pdf
    • FX_futures_option.pdf
    • FX_option.pdf
    • FXBarrierDigital.pdf
    • FXCorrelationSwap.pdf
    • FXDoubleBarrier.pdf
    • FXGenericBarrierOption.pdf
    • FXSingleBarrier.pdf
    • FXTouchOption.pdf
    • FXVarianceSwap.pdf
    • general_sensitivity_instrument.pdf
    • generic_bond.pdf
    • generic_convertible_bond.pdf
    • generic_convertible_bond_best_practice.pdf
    • GenericPayoffInstrument.pdf
    • HWOneFactorTree.pdf
    • ILB_Extension_of_GB.pdf
    • Inflation_Swap.pdf
    • InflationCapsAndFloors.pdf
    • InflationIndexedLiability.pdf
    • interest_rate_futures_options.pdf
    • IR_Bundle_futures.pdf
    • IR_futures.pdf
    • mandatory_convertible_bond_new.pdf
    • money_market.pdf
    • OutperformanceCertificates.pdf
    • overnight_indexed_swap.pdf
    • PassThroughModels.pdf
    • ReverseConvertible.pdf
    • SecuritizedProductsModelingOverview.pdf
    • SecuritizedTrancheModels.pdf
    • SOFR_Futures.pdf
    • SummaryTable.pdf
    • swap.pdf
    • Swaption.pdf
    • synthetic_CDO.pdf
    • TreasuryLock.pdf
    • UK_index-linked_Gilt.pdf
    • VIX_futures.pdf
    • Warrants.pdf
    • YoY_Inflation_Swap.pdf
    • Australia_New_Zealand_Capital_Index_Bonds.pdf
    • AutoCallableNote.pdf
    • BankLoan.pdf
    • BarrierDiscountCertificates.pdf
    • BDT_swaption_pricing.pdf
  • 83.26 MB
  • 2018-9-21
  • CFA 2017 Video (Level 1).zip

    本附件包括:
    • 2_R02 Guidance for I(A) and I(B).mp4
    • 14_R06 Discounted Cash Flow Applications - Lecture 1.mp4
    • 51_R22 Financial Statement Analysis An Introduction.mp4
  • 88.36 MB
  • 2017-7-19
  • Slides and readings.zip
       固定收益课件

    本附件包括:
    • 1. Outline and introduction to taxes.pdf
    • 2. US fixed income markets part I (Overview, securities, quotes).pdf
    • 3. US fixed income markets part II (Primary market and repos).pdf
    • 4. Discount factors, spot rates and forward rates.pdf
    • 5. Risk Income Risk Management.pdf
    • Discussion. LTCM (Long-term capital management).pdf
    • Discussion. O.C (orange county).pdf
    • Discussion. Ultra-low Yields.pdf
  • 4.79 MB
  • 2017-3-2
  • AFA-2017-Part02.zip
       AFA

    本附件包括:
    • AFA2017-Cash-flow timing vs. discount-rate timing_ A decomposition of mutual Fund.pdf
    • AFA2017-A Clash of Cultures_ The Governance and Valuation Effects of Multiple Corporate Cultures.pdf
    • AFA2017-A First Glimpse into the Short Side of Hedge Funds.pdf
    • AFA2017-Access to Credit and Stock Market Participation.pdf
    • AFA2017-Aggregate Effects of Collateral Constraints.pdf
    • AFA2017-Analyst Coverage Network and Corporate Financial.pdf
    • AFA2017-Anchoring and Acquisitions.pdf
    • AFA2017-Anomalies and News.pdf
    • AFA2017-Are CEOs Different_ Characteristics of Top Managers.pdf
    • AFA2017-Asset Encumbrance, Bank Funding, and Financial Fragility.pdf
    • AFA2017-Asset Management Within Commercial Banking Groups_ International Evidence.pdf
    • AFA2017-Bank Complexity and Risk Management_ Evidence from Operational Risk Events in U.S. Bank Holding Companies.pdf
    • AFA2017-Bank Culture.pdf
    • AFA2017-Bank Resolution and the Structure of Global Banks.pdf
    • AFA2017-Can Decentralized Markets Be More Efficient_.pdf
    • AFA2017-Can Paying Firms Quicker Affect Aggregate Employment_.pdf
    • AFA2017-Career Concerns and Strategic Effort Allocation by Analysts.pdf
    • AFA2017-Centralized Trading, Transparency and Interest Rate Swap Market Liquidity_ Evidence from the Implementation of the Dodd-Frank Act.pdf
    • AFA2017-Compensation goals and firm performance.pdf
    • AFA2017-Competition and Innovation in the Presence of Financial Constraints.pdf
    • AFA2017-Competition, Reach for Yield, and Money Market Funds.pdf
    • AFA2017-Corporate Culture_ Evidence from the Field.pdf
    • AFA2017-Correlated High-Frequency Trading.pdf
    • AFA2017-Creditor Rights and Relationship Banking_ Evidence from a Policy Experiment.pdf
    • AFA2017-Cross-Currency Basis.pdf
    • AFA2017-Data Abundance and Asset Price Informativeness.pdf
    • AFA2017-Dividend Dynamics, Learning, and Expected Stock Index Returns.pdf
    • AFA2017-Do Bank Boards Focus Adequately On Risk_.pdf
    • AFA2017-Do Criminal Politicians affect Firm Investment and Value_ Evidence from a Regression Discontinuity Approach.pdf
    • AFA2017-Do High Frequency Traders Need to be Regulated_ Evidence from Trading on Macroeconomic Announcements.pdf
    • AFA2017-Do Personal Ethics Influence Corporate Ethics_.pdf
    • AFA2017-Does Central Bank Tone Move Asset Prices_.pdf
    • AFA2017-Does a Larger Menu Increase Appetite_ Collateral Eligibility and Bank Risk-Taking.pdf
    • AFA2017-Economic Uncertainty, Aggregate Debt, and the Real Effects of Corporate Finance.pdf
    • AFA2017-Endogenous Specialization and Dealer Networks.pdf
    • AFA2017-Entangled Risks in Incomplete FX Markets.pdf
    • AFA2017-Estimating Information Asymmetry in Securities Markets.pdf
    • AFA2017-Executive Job Matching_ Estimates from a Dynamic Model.pdf
    • AFA2017-Experimenting with Entrepreneurship_ The Effect of Job-Protected Leave.pdf
    • AFA2017-Fast Traders Make a Quick Buck_ The Role of Speed in Liquidity Provision.pdf
    • AFA2017-Financial Conglomerate Affiliation and Hedge Funds’ Countercyclical Risk Taking.pdf
    • AFA2017-Financial Intermediation in Private Equity_ How Well do Funds of Funds Perform_.pdf
    • AFA2017-Financing Payouts.pdf
    • AFA2017-Flying Under the Radar_ The Effects of Short-Sale Disclosure Rules on Investor Behavior and Stock Prices.pdf
    • AFA2017-Generalized Recovery.pdf
    • AFA2017-Good and Bad CEOs.pdf
    • AFA2017-How should investors respond to increases in volatility_.pdf
    • AFA2017-In-Group Bias in Financial Markets.pdf
    • AFA2017-Informed Trading and Option Prices_ Evidence from Activist.pdf
    • AFA2017-Innovation Waves, Investor Sentiment, and Mergers.pdf
    • AFA2017-Insider Purchases after Short Interest Spikes_ a False Signaling Device_.pdf
    • AFA2017-Institutional Herding and Its Price Impact_ Evidence from the Corporate Bond Market.pdf
    • AFA2017-Integrity Culture and Analyst Forecast Quality .pdf
    • AFA2017-Interfund lending in mutual fund families_ Role of internal capital markets.pdf
    • AFA2017-Intraday Trading Invariance in the E-mini S&P 500 Futures Market.pdf
    • AFA2017-It Depends on Where You Search_ A Comparison of Institutional and Retail Attention.pdf
    • AFA2017-Learning across Peer Firms and Innovation Waves.pdf
    • AFA2017-Macro Announcement Premium and Risk Preferences.pdf
    • AFA2017-Maximum likelihood estimation of the equity.pdf
    • AFA2017-Minimum Payments and Debt Paydown in Consumer Credit Cards.pdf
    • AFA2017-Multiple Equilibria in Noisy Rational Expectations Economies.pdf
    • AFA2017-Non-rating revenue and conflicts of interest.pdf
    • AFA2017-Oil Volatility RisK.pdf
    • AFA2017-One thorn of experience_ CEOs, strikes, and financial leverage.pdf
    • AFA2017-Opportunistic Proposals by Union Shareholders.pdf
    • AFA2017-Optimal Financing for R&D-intensive Firms.pdf
    • AFA2017-Parsing the Content of Bank Supervision.pdf
    • AFA2017-Patents as Substitutes for Relationships.pdf
    • AFA2017-Pay Now or Pay Later__ The Economics within the Private Equity Partnership.pdf
    • AFA2017-Pension Fund Board Composition and Investment Performance_ Evidence from Private Equity.pdf
    • AFA2017-Performance-Vesting Provisions in Executive Compensation .pdf
    • AFA2017-Private Equity’s Unintended Dark Side_ On the Economic Consequences of Excessive Delistings.pdf
    • AFA2017-Real Exchange Rates and Currency Risk Premia.pdf
    • AFA2017-Relative Pay for Non-Relative Performance_ Keeping up with the Joneses with Optimal Contracts.pdf
    • AFA2017-Rethinking Performance Evaluation.pdf
    • AFA2017-Risk Management in Financial Institutions.pdf
    • AFA2017-Robust Bond Risk Premia.pdf
    • AFA2017-Shareholder-Creditor Conflict and Payout Policy_ Evidence from Mergers between Lenders and Shareholders.pdf
    • AFA2017-Size Discovery.pdf
    • AFA2017-Skewness Consequences of Seeking Alpha.pdf
    • AFA2017-Slow Trading and Stock Return Predictability.pdf
    • AFA2017-Sovereign CDS Spreads with Credit Rating.pdf
    • AFA2017-Speed and Expertise in Stock Picking_ Older, Slower, and Wiser_ .pdf
    • AFA2017-Standing on the Shoulders of Giants_ The Effect of Passive Investors on Activism.pdf
    • AFA2017-Stock Market Coverage.pdf
    • AFA2017-Taking Orders and Taking Notes_ Dealer Information Sharing in Financial Markets.pdf
    • AFA2017-Term Structure of Interest Rates with Short-run and Long-run Risks.pdf
    • AFA2017-The Causal Effect of Limits to Arbitrage on Asset Pricing Anomalies.pdf
    • AFA2017-The Cross-Section of Subjective Bond Risk Premia.pdf
    • AFA2017-The Effect of Option-based Compensation on Payout Policy_ Evidence from FAS 123R.pdf
    • AFA2017-The Equity Premium and the One Percent.pdf
    • AFA2017-The Face of Risk_ CEO Testosterone and Risk Taking Behavior.pdf
    • AFA2017-The Impact of Sovereign Shocks.pdf
    • AFA2017-The Liquid Hand-to-Mouth_ Evidence from Personal.pdf
    • AFA2017-The Misguided Beliefs of Financial Advisors.pdf
    • AFA2017-The Momentum of News .pdf
    • AFA2017-The Term Structure of Implied Volatility and Volatility Risk Premia in the FX Market.pdf
    • AFA2017-The Value of Information for Contracting.pdf
    • AFA2017-The Value of Trading Relationships in Turbulent Times.pdf
    • AFA2017-The real effects of credit ratings_ Evidence from corporate asset sales.pdf
    • AFA2017-Time-Varying Crash Risk.pdf
    • AFA2017-Uncertainty, the Exchange Rate and International Capital Flows.pdf
    • AFA2017-Unemployment and Credit Risk.pdf
    • AFA2017-Variance Risk Premia on Stocks and Bonds.pdf
    • AFA2017-Weighted Least Squares Estimates of Return Predictability Regressions.pdf
    • AFA2017-What Drives Liquidity_ Identifying Shocks to Market Makers' Supply of Liquidity and Their Role in Economic Fluctuations.pdf
    • AFA2017-What's Behind the Smooth Dividends_ Evidence from Structural Estimation.pdf
    • AFA2017-When Do Laws and Institutions Affect Recovery Rates on Collateral_.pdf
    • AFA2017-Where the Heart Is_ Information Production and the Home Bias.pdf
    • AFA2017-Wholesale Funding Runs.pdf
    • AFA2017-Why does fast loan growth predict poor performance for banks_ .pdf
  • 77.41 MB
  • 2016-12-30
  • AFA-2017-Part01.zip
       AFA

    本附件包括:
    • AFA2017-A Dynamic Theory of Mutual Fund Runs and Liquidity Management.pdf
    • AFA2017-A Macroeconomic Model with Financially Constrained Producers and Intermediaries.pdf
    • AFA2017-A Tough Act to Follow_ Contrast Effects in Financial Markets.pdf
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    • AFA2017-Real Anomalies.pdf
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    • AFA2017-The Effect of Central Bank Liquidity Injections on Bank Credit Supply.pdf
    • AFA2017-The Effect of Monetary Policy on Bank Wholesale Funding.pdf
    • AFA2017-The History of the Cross Section of Stock Returns.pdf
    • AFA2017-The Impact of Positive Payment Shocks on Mortgage Credit Risk – a Natural Experiment from Home Equity Lines of Credit at End of Draw.pdf
    • AFA2017-The Invisible Hand of the Government_ ”Moral Suasion” during the European Sovereign Debt Crisis.pdf
    • AFA2017-The Life Cycle of Corporate Venture Capital.pdf
    • AFA2017-The Political Economy of Financial Innovation_ Evidence from Local Governments.pdf
    • AFA2017-The Privatization of Bankruptcy_ Evidence from Financial Distress in the Shipping Industry.pdf
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    • AFA2017-The Role of the Government Bond Lending Market in Collateral Transformation.pdf
    • AFA2017-The Speculation Channel and Crowding Out Channel_ Real Estate Shocks and Corporate Investment in China.pdf
    • AFA2017-The Speed of Communication.pdf
    • AFA2017-Thinking About Prices Versus Thinking About Returns in Financial Markets.pdf
    • AFA2017-Trading Costs and Informational Efficiency.pdf
    • AFA2017-Trading Frictions in the Interbank Market, and the Central Bank.pdf
    • AFA2017-Understanding Precautionary Cash at Home and Abroad.pdf
    • AFA2017-Using Managerial Attributes to Identify Market Feedback Effects_ The Case of Mutual Fund Fire Sales.pdf
    • AFA2017-Vote Avoidance and Shareholder Voting in Mergers & Acquisitions.pdf
    • AFA2017-What Drives Corporate Inversions_ International Evidence.pdf
    • AFA2017-What do Measures of Real-time Corporate Sales Tell us about Earnings Surprises and Post-announcement Returns_.pdf
    • AFA2017-Why Do Institutions Delay Reporting Their Shareholdings_ Evidence from Form 13F.pdf
    • AFA2017-Why Don't We Agree_ Evidence from a Social Network of Investors.pdf
    • AFA2017-Will I Get Paid_ Employee Stock Options and Mergers and.pdf
  • 76.53 MB
  • 2016-12-30
  • JFE-2016-05-06-07.zip
       JFE最新文献资料

    本附件包括:
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    • JFE-2016-05-Bankruptcy law and bank financing.pdf
    • JFE-2016-05-Discerning information from trade data.pdf
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  • 2016-6-5
  • CFA audio12-14.rar
       quan 2016 CFA一级音频

    本附件包括:
    • 012 - The Time Value of Money - Part 5.mp3
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  • 11.67 MB
  • 2016-5-17
  • FixedIncomeModel_VBAcode.zip

    本附件包括:
    • 0Relative Value Models (Feb04).pdf
    • 1Bond Price with Excel Functions.xls
    • 2.0Term Structure of Credit Spreads _QFsub16 June 2004_.pdf
    • 2.1.1ConfBenchmark (Feb04).xls
    • 2.1.2Cheap Rich List (Feb04).xls
    • 2.2Term Structure JP Morgan Model (Feb04).xls
    • 2.3JP Morgan Yield Curve Model Description.pdf
    • 2.3McCullochCubicSplineDiscountFunctionModel(P).xls
    • 2.4.1Nelson-Siegel1987.pdf
    • 2.4.1NelsonSiegelYieldCurveModel.xls
    • 2.4.2NelsonSiegelYieldCurveModel with Svensson (Feb 2005).xls
    • 3Convertible Valuation w Credit Risk Tree Model(P).xls
    • 4Longstaff Schwartz (95) Risky Debt(P).xls
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  • 2015-2-15
  • 美国经济评论11月份论文集(working paper).zip

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    • A Biological Theory of Social Discounting.pdf
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    • Ine? cient Hiring in Entry-Level Labor Markets.pdf
    • Mismatch unemployment.pdf
    • On the selection of arbitrators.pdf
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    • The Human Capital Stock A Generalized Approach.pdf
    • The Network Structure of International Trade.pdf
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  • 2014-11-11
  • Bloomberg固定收益数量模型培训系列.zip

    本附件包括:
    • Annual Coupons - Lizve Zero Coupon Rates and Live Discount Factors.xls
    • BCurve.xls
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    • Fitting the Nelson-Siegle-Svensson (NSS) Model to Data.xls
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    • Live Zero Coupon Rate and Discount Factor Calculator for EUR.xls
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    • OIS Discounting or Dual-Curve String.xls
    • Spreading Bonds to the Par or Zero Coupon Curve.xls
    • The Term Structure of Interest Rates - Estimation Details.xls
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  • 3.03 MB
  • 2014-11-9
  • journal of finance FEBRUARY 2014.rar

    本附件包括:
    • A Mean-Variance Benchmark for Intertemporal Portfolio Theory (pages 1–49).pdf
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    • Do Peer Firms Affect Corporate Financial Policy(pages 139–178).pdf
    • Informed Trading through the Accounts of Children (pages 363–404).pdf
    • Mergers and Acquisitions Accounting and the Diversification Discount (pages 219–240).pdf
    • Product Market Threats, Payouts, and Financial Flexibility (pages 293–324).pdf
    • Sources of Entropy in Representative Agent Models (pages 51–99).pdf
    • Strategic Asset Allocation in Money Management.pdf
    • When Uncertainty Blows in the Orchard Comovement and Equilibrium Volatility Risk Premia (pages 101–137).pdf
    • Who Writes the News Corporate Press Releases during Merger Negotiations (pages 241–291).pdf
  • 5.56 MB
  • 2014-10-13
  • 罗伯特席勒22篇经典论文.zip

    本附件包括:
    • The dividend-price ratio and expectations of future dividends and discount factors.pdf
    • Behavioral Economics and Institutional Innovation.pdf
    • Bubbles, Human Judgment, and Expert Opinion.pdf
    • Comparing Information in Forecasts from Econometric Models.pdf
    • Conversation, Information, and Herd Behavior.pdf
    • Do Stock Prices Move Too Much to be Justified by Subsequent Changes in Dividends.pdf
    • From Efficient Markets Theory to Behavioral Finance.pdf
    • Market Volatility and Investor Behavior.pdf
    • Portfolio Insurance and Other Investor Fashions as Factors in the 1987 Stock Market Crash.pdf
    • Public Resistance to Indexation-A Puzzle.pdf
    • Smoothness Priors and Nonlinear Regression.pdf
    • Social Security and Individual Accounts as Elements of Overall Risk-Sharing.pdf
    • Speculative Prices and Popular Models.pdf
    • Stock Prices and Social Dynamics.pdf
    • Stock Prices, Earnings, and Expected Dividends.pdf
    • The Informational Content of Ex Ante Forecasts.pdf
    • The Marsh-Merton Model of Managers' Smoothing of Dividends.pdf
    • The Significance of Market Portfolio.pdf
    • The Use of Volatility Measures in Assessing Market Efficiency.pdf
    • Ultimate Sources of Aggregate Variability.pdf
    • cointegration and tests of PV models.pdf
    • stock prices earnings and expected dividends.pdf
  • 21.91 MB
  • 2014-9-12
  • 邹恒甫英文论文集.zip

    本附件包括:
    • A Comparative Study of Inequality and Corruption.pdf
    • Asset Prices and Hyperbolic Discounting.pdf
    • Corruption, Income Distribution, and Growth.pdf
    • Direct preferences for wealth, the risk premium puzzle growth and policy effectiveness.pdf
    • Dollarization and inflation in a two-country.pdf
    • Dynamics of Income Distribution.pdf
    • Effects of Growth and Volatility in Public Expenditures on.pdf
    • Explaining international and intertemporal variations in income inequality.pdf
    • Explaining_the_Changes_of_Income_Distribution_in_China.pdf
    • Finance and Income Inequality_ What Do the Data Tell Us_.pdf
    • Fiscal Decentralization and Economic Growth in the United States.pdf
    • Fiscal Decentralization and Economic Growth.pdf
    • Fiscal Decentralization and Economic Growth_ A Cross-Country Study.pdf
    • Fiscal Decentralization in China_ History, Impact, Challenges and Next Steps.pdf
    • Fiscal Federalism, Public Capital Formation, and Endogenous Growth.pdf
    • Fiscal decentralization and political centralization in China_ Implications for growth and inequality.pdf
    • Fiscal decentralization, public spending, and economic growth in China.pdf
    • How does fiscal decentralization affect aggregate, national, and subnational government size_.pdf
    • In ation Aversion.pdf
    • LOCAL GOVERNMENT TAX EFFORT IN CHINA_ AN ANALYSIS OF PROVINCIAL TAX PERFORMANCE.pdf
    • Land Taxation in China_ Assessment of Prospects for Politically and Economically Sustainable Reform.pdf
    • Military spending and stochastic growth.pdf
    • ON THE DYNAMICS OF PRIVATIZATION.pdf
    • Poverty and Inequality in Sub-Saharan Africa_ Literature Survey and Empirical Assessment.pdf
    • Regional Disparities of Educational Attainment in China.pdf
    • Regional Inequality in Contemporary China.pdf
    • Returns to education, productivity, and economic growth in China.pdf
    • Savings and Income Distribution.pdf
    • Short-Run Analysis of Fiscal Policy and the Current Account in a Finite Horizon Model.pdf
    • Should Public Capital Be Subsidized or.pdf
    • Taxes, Federal Grants, Local Public Spending, and Growth.pdf
    • The Spirit of Capitalism, Precautionary Savings and consumption.pdf
    • The Spirit of Capitalism, Social Status, Money, and Accumulation.pdf
    • The composition of public expenditure and economic growth.pdf
    • The spirit of capitalism and savings behavior.pdf
    • inflation aversion and optimal inflation tax.pdf
    • the spirit of capitalism and long run growth.pdf
  • 11.85 MB
  • 2014-9-4
  • EXCEL 模型.rar
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    本附件包括:
    • Ch_11_Portfolio_Diversific.xlsx
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    • Ch_15_Option_Payoff_Profit.xlsx
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    • Ch_17_Put_Call_Parity.xlsx
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    • Ch_20_Merton_Corp_Bond.xlsx
    • Ch_21_Spot_Futures_Parity.xlsx
    • Ch_22_International_Parity.xlsx
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    • Ch_03_Bond_Convexity.xlsx
    • Ch_04_The_Yield_Curve.xlsx
    • Ch_05_US_Yield_Curve_Dynam.xlsx
    • Ch_06_Affine_Yield_Curve.xlsx
    • Ch_09_Asset_Pricing.xlsx
  • 2.55 MB
  • 2014-7-17
  • dlom.pdf
       discount of lack of marketability

  • 389.78 KB
  • 2013-8-2
  • Volume discount pricing strategy in the VMI supply chain with price sensitive demand.rar

    本附件包括:
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  • 225.09 KB
  • 2013-5-13
  • LIBOR vs. OIS - The Derivatives Discounting Dilemma.zip

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    • LIBOR vs. OIS - The Derivatives Discounting Dilemma.pdf
  • 267.55 KB
  • 2013-1-29
  • Chapter 31 to References.rar

    本附件包括:
    • Investment_Valuation_Tools_and_Techniques_for_Determining_the_Value_of_Any_Asset_3rd_Edition_CHAPTER_33_Probabilistic_Approaches_in_Valuation_Scenario_Analysis_Decision_Trees_and_Simulations.pdf
    • Investment_Valuation_Tools_and_Techniques_for_Determining_the_Value_of_Any_Asset_3rd_Edition_CHAPTER_34_Overview_and_Conclusion.pdf
    • Investment_Valuation_Tools_and_Techniques_for_Determining_the_Value_of_Any_Asset_3rd_Edition_Contents.pdf
    • Investment_Valuation_Tools_and_Techniques_for_Determining_the_Value_of_Any_Asset_3rd_Edition_Index.pdf
    • Investment_Valuation_Tools_and_Techniques_for_Determining_the_Value_of_Any_Asset_3rd_Edition_References.pdf
    • Investment_Valuation_Tools_and_Techniques_for_Determining_the_Value_of_Any_Asset_3rd_Edition_CHAPTER_31_Value_Enhancement_A_Discounted_Cash_Flow_Valuation_Framework.pdf
    • Investment_Valuation_Tools_and_Techniques_for_Determining_the_Value_of_Any_Asset_3rd_Edition_CHAPTER_32_Value_Enhancement_Economic_Value_Added_Cash_Flow_Return_on_Investment_and_Other_Tools.pdf
  • 9.65 MB
  • 2013-1-29
  • Chapter 11 - 20.rar

    本附件包括:
    • Investment_Valuation_Tools_and_Techniques_for_Determining_the_Value_of_Any_Asset_3rd_Edition_CHAPTER_13_Dividend_Discount_Models.pdf
    • Investment_Valuation_Tools_and_Techniques_for_Determining_the_Value_of_Any_Asset_3rd_Edition_CHAPTER_14_Free_Cash_Flow_to_Equity_Discount_Models.pdf
    • Investment_Valuation_Tools_and_Techniques_for_Determining_the_Value_of_Any_Asset_3rd_Edition_CHAPTER_15_Firm_Valuation_Cost_of_Capital_and_Adjusted_Present_Value_Approaches.pdf
    • Investment_Valuation_Tools_and_Techniques_for_Determining_the_Value_of_Any_Asset_3rd_Edition_CHAPTER_16_Estimating_Equity_Value_per_Share.pdf
    • Investment_Valuation_Tools_and_Techniques_for_Determining_the_Value_of_Any_Asset_3rd_Edition_CHAPTER_17_Fundamental_Principles_of_Relative_Valuation.pdf
    • Investment_Valuation_Tools_and_Techniques_for_Determining_the_Value_of_Any_Asset_3rd_Edition_CHAPTER_18_Earnings_Multiples.pdf
    • Investment_Valuation_Tools_and_Techniques_for_Determining_the_Value_of_Any_Asset_3rd_Edition_CHAPTER_19_Book_Value_Multiples.pdf
    • Investment_Valuation_Tools_and_Techniques_for_Determining_the_Value_of_Any_Asset_3rd_Edition_CHAPTER_20_Revenue_Multiples_and_Sector_Specific_Multiples.pdf
    • Investment_Valuation_Tools_and_Techniques_for_Determining_the_Value_of_Any_Asset_3rd_Edition_CHAPTER_11_Estimating_Growth.pdf
    • Investment_Valuation_Tools_and_Techniques_for_Determining_the_Value_of_Any_Asset_3rd_Edition_CHAPTER_12_Closure_in_Valuation_Estimating_Terminal_Value.pdf
  • 19.49 MB
  • 2013-1-29
  • Financial Management.rar

    本附件包括:
    • lec12_discount_rates.pdf
    • lec10_portfolio.pdf
    • lec11_capm.pdf
    • lec14_raising_capital.pdf
    • lec15_capital_structure1.pdf
    • lec16_capital_structure2.pdf
    • lec18_market_efficiency.pdf
    • lec19_options.pdf
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    • lec1_intro.pdf
    • lec2_valuation.pdf
    • lec3_capital_budgeting.pdf
    • lec5_real_options.pdf
    • lec6_firm_valuation1.pdf
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  • 2.77 MB
  • 2012-12-4
  • Accademy.zip
       C2

    本附件包括:
    • Multi-curves, Cheapest-to-deliver and interest rate derivative pricing.pdf
    • Pricing and Discounting Collateralised Derivatives.pdf
    • Funding and impact on pricing on non CSA.pdf
    • 09072012_VaRRiskAllocation_Jul12.pdf
    • 23072012_IRC-APR2v4 (2).pptx
    • CVA DVA FVA relating bilateral counterparty risk and funding effects for derivatives.pdf
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  • 2012-11-9
  • Excel Modeling in Corporate Finance, 4th edition.rar
       Excel Modeling in Corporate Finance, 4th edition

    本附件包括:
    • Excel Modeling in Corporate Finance Fourth Edition.pdf
    • Ch 01 Single Cash Flow - Ready-To-Build.xlsx
    • Ch 02 Annuity - Ready-To-Build.xlsx
    • Ch 03 NPV Using Constant Discounting - Ready-To-Build.xlsx
    • Ch 04 NPV Using General Discounting - Ready-To-Build.xlsx
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    • Ch 08 Stock Valuation - Ready-To-Build.xlsx
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    • Ch 19 International Parity - Ready-To-Build.xlsx
    • Ch 20 Binomial Option Pricing - Ready-To-Build.xlsx
    • Ch 21 Real Options - Ready-To-Build.xlsx
    • Ch 22 Black-Scholes Option Pricing - Ready-To-Build.xlsx
    • Ch 23 Debt and Equity Valuation - Ready-To-Build.xlsx
  • 14.39 MB
  • 2012-7-2
  • The New Palgrave Dictionary of Economics S.rar
       s

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  • 16.62 MB
  • 2012-5-13
  • china 2030 report.rar
       china 2030 report 完整版

    本附件包括:
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  • 4.97 MB
  • 2012-3-1
  • discount_rates_jf.rar
       Discount Rates

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  • 4.13 MB
  • 2011-8-28
  • FINACIAL MANAGEMENT.rar

    本附件包括:
    • Ch8 Stock Valuation.ppt
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    • Ch6 Discounted Cash Flow Valuation (Part 1).ppt
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  • 12.87 MB
  • 2010-12-14
  • 金融工程papers.rar

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  • 2.68 MB
  • 2010-11-17
  • ResDat.rar

    本附件包括:
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    • B_shares_1.txt
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  • 30.55 MB
  • 2010-10-13
  • Buffett.rar

    本附件包括:
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    • Digging Into Buffett's Numbers.docx
  • 90.36 KB
  • 2010-9-8
  • F9_FTC.rar

    本附件包括:
    • 11 Investment appraisal – further aspects of discounted cash flows (DCF).htm
    • 10 Investment appraisal – discounted cash flow techniques.htm
    • 15 Sources of finance.htm
    • 14 The economic environment.htm
    • 13 Asset investment decisions and capital rationing.htm
    • 12 Investment appraisal under uncertainty.htm
    • 9 Capital budgeting and basic investment appraisal techniques.htm
    • 8 Working capital management – cash and funding strategies.htm
    • 7 Working capital management – accounts receivable and payable.htm
    • 6 Working capital management – inventory control.htm
    • 5 Working capital management.htm
    • 4 Financial and other objectives in not-for-profit organisations.htm
    • 3 Measuring achievement of corporate objectives.htm
    • 2 Management and the achievement of stakeholder objectives.htm
    • 1 The financial management function.htm
    • Introduction.htm
    • 24 Questions & Answers.htm
    • 23 Interest rate risk.htm
    • 22 Foreign exchange risk.htm
    • 21 Market efficiency.htm
    • 20 Business valuations.htm
    • 19 Capital structure and the cost of capital.htm
    • 18 The cost of capital.htm
    • 17 Finance for small and medium enterprises.htm
    • 16 Capital structure and financial ratios.htm
    • acca_f9_errata_sheet_2_2007.pdf
  • 10.5 MB
  • 2010-6-12
  • 投资学讲义.rar

    本附件包括:
    • CHPT18-GMM in explicit discount factor models.pdf
    • CHP16-market efficiency-furthur analysis.pdf
    • CHPT1-introduction.pdf
    • CHPT02-risk and risk aversion.pdf
    • CHPT03-capital allocation.pdf
    • CHPT04-asset diversification.pdf
    • CHPT05-CAPM.pdf
    • CHPT06-Mutiple factor model.pdf
    • CHPT07-APT.pdf
    • CHPT8-Market efficiency.pdf
    • CHPT9-Index and index fund.pdf
    • CHPT10-Investment Styles.pdf
    • CHPT11-Performance Evaluation.pdf
    • CHPT12-1-Modern portfolio Theory.pdf
    • CHPT12-2-general asset pricing model.pdf
    • CHPT13- Factor pricing model--CAPM.pdf
    • CHPT14- The CAPM ---test.pdf
    • CHPT15- the equity market cross-section and time-series properties.pdf
    • CHPT17- Conditioning information.pdf
    • CHPT19- GMM and regression-based tests.pdf
  • 1.56 MB
  • 2010-4-29
  • 5.rar

    本附件包括:
    • discount with varying expected returns.pdf
    • An Equilibrium Model of Bond Pricing and a Test of Market Efficiency.pdf
    • An Exact Bond Option Formula.pdf
    • An Intertemporal General Equilibrium Model of Asset Prices1985.pdf
    • Bond Pricing and the Term Structure of Interest Rates A Discrete Time Approximation.pdf
    • Bond Pricing and the Term Structure of Interest Rates A New Methodology for Contingent Claims Valuation.pdf
    • Consumption-Based Asset Pricing.pdf
    • Empirical Performance of Alternative Option Pricing Models.pdf
    • Financial Markets and the Real Economy.pdf
    • FORWARD RATE VOLATILITIES, SWAP RATE VOLATILITIES,AND THE IMPLEMENTATION OF THE LIBOR MARKET MODEL.pdf
    • Generalized HW model and Super Calibration.pdf
    • hansen richard econometrica.pdf
    • LINEST in Excel.pdf
    • Multi-Period Market Asset PricingEquilibrium.pdf
    • Valuation of a CDO and an nth to Default CDS Without Monte Carlo Simulation.pdf
    • Valuation of Foreign Currency Options Some Empirical Tests.pdf
    • Value at Risk An Approach to Calculating Market Risk.pdf
    • Value at Risk for Interst Rate-Dependent Securities.pdf
    • VALUE AT RISK WHEN DAILY CHANGES IN MARKET.pdf
  • 11.2 MB
  • 2010-4-23
  • 4.rar

    本附件包括:
    • An Economic Analysis of Interest Rate Swaps.pdf
    • an empirical comparison of forward-rate and spot-rate options.pdf
    • An Empirical Test of a Valuation Model for American Options on Futures Contracts.pdf
    • Tests of the Black-Scholes and Cox Call Option Valuation Models.pdf
    • THE 2000 PRESIDENTIAL ELECTION AND THE INFORMATION COST OF SENSITIVE VS. NON-SENSITIVE S&P 500 STOCKS.pdf
    • The adaptive mesh model A new approach to efficient option pricing.pdf
    • The Behavior of Stock-Market Prices.pdf
    • The CAPM Theory and Evidence.pdf
    • the Components of the Return from Hedging Options Against Stocks.pdf
    • The Declining Equity Premium What Role Does Macroeconomic Risk Play.pdf
    • The Efficiency of the Treasury Bill Futures Market.pdf
    • The Pricing of Options and Corporate Liabilities.pdf
    • The Pricing of Options on Debt Securities.pdf
    • USING HULL-WHITE INTEREST-RATE TREES.pdf
    • Utility Indifference Discount of Restricted Stock Value.pdf
  • 12.21 MB
  • 2010-4-23
  • 3.rar

    本附件包括:
    • A Lattice Framework for Option Pricing with Two State Variables.pdf
    • A METHODOLOGY FOR ASSESSING MODEL RISK AND ITS APPLICATION TO THE IMPLIED VOLATILITY FUNCTION MODEL.pdf
    • A Theory of the Term Structure of Interest Rates1985.pdf
    • AccountingforStockOptions.pdf
    • Backtesting Value-at-Risk A Duration-Based Approach.pdf
    • CHARACTERISTICS AND RISKS OF STANDARDIZED OPTIONS.pdf
    • Discount of Illiquid Asset Value under Utility Indifference Pricing.pdf
    • Handen and Jagannathan bounds.pdf
    • Modeling the dynamics of Chinese spot interest rates.pdf
    • Portfolio advice for a multifactor world.pdf
    • sensitivity analysis of VAR.pdf
    • Single Factor Heath-Jarrow-Morton Term Structure Models Based on Markov Spot Interest Rate Dynamics.pdf
    • Term Structure Movements and Pricing Interest Rate Contingent Claims.pdf
    • Tests of an American Option Pricing Model on the Foreign Currency Options Market.pdf
    • Tests of Market Efficiency of the Chicago Board Options Exchange.pdf
  • 7.59 MB
  • 2010-4-23
  • topics.rar

    本附件包括:
    • query-discounts-provisions.pptx
    • What-is-an-account.ppt
    • Accounting-documentation.pptx
    • Bringing-down-balances.pptx
    • Calculating-depreciation.pptx
    • Capital-and-Reserves.pptx
    • Capital-vs-Revenue.pptx
    • Presenting-columns,totals-and-subtotals.ppt
    • Recording-depreciation.pptx
    • W2-A-0910.doc
    • What-are-fixed-assets-and-depreciation.pptx
  • 1.04 MB
  • 2010-1-9
  • 投资学讲义(复旦大学).rar

    本附件包括:
    • CHPT18-GMM in explicit discount factor models.pdf
    • CHP16-market efficiency-furthur analysis.pdf
    • CHPT1-introduction.pdf
    • CHPT02-risk and risk aversion.pdf
    • CHPT03-capital allocation.pdf
    • CHPT04-asset diversification.pdf
    • CHPT05-CAPM.pdf
    • CHPT06-Mutiple factor model.pdf
    • CHPT07-APT.pdf
    • CHPT8-Market efficiency.pdf
    • CHPT9-Index and index fund.pdf
    • CHPT10-Investment Styles.pdf
    • CHPT11-Performance Evaluation.pdf
    • CHPT12-1-Modern portfolio Theory.pdf
    • CHPT12-2-general asset pricing model.pdf
    • CHPT13- Factor pricing model--CAPM.pdf
    • CHPT14- The CAPM ---test.pdf
    • CHPT15- the equity market cross-section and time-series properties.pdf
    • CHPT17- Conditioning information.pdf
    • CHPT19- GMM and regression-based tests.pdf
  • 1.56 MB
  • 2009-12-29
  • paper.rar

    本附件包括:
    • Channel Structure with Knowledge Spillovers.pdf
    • Quantity Discounts in Differentiated Consumer Product Markets.pdf
  • 854.14 KB
  • 2009-12-17
  • 复旦大学投资学.rar

    本附件包括:
    • CHPT18-GMM in explicit discount factor models.pdf
    • CHPT1-introduction.pdf
    • CHPT02-risk and risk aversion.pdf
    • CHPT03-capital allocation.pdf
    • CHPT04-asset diversification.pdf
    • CHPT05-CAPM.pdf
    • CHPT06-Mutiple factor model.pdf
    • CHPT07-APT.pdf
    • CHPT8-Market efficiency.pdf
    • CHPT9-Index and index fund.pdf
    • CHPT10-Investment Styles.pdf
    • CHPT11-Performance Evaluation.pdf
    • CHPT12-1-Modern portfolio Theory.pdf
    • CHPT12-2-general asset pricing model.pdf
    • CHPT13- Factor pricing model--CAPM.pdf
    • CHPT14- The CAPM ---test.pdf
    • CHPT15- the equity market cross-section and time-series properties.pdf
    • CHP16-market efficiency-furthur analysis.pdf
    • CHPT17- Conditioning information.pdf
    • CHPT19- GMM and regression-based tests.pdf
  • 1.56 MB
  • 2009-12-13
  • 121-141.rar

    本附件包括:
    • Assessing the economic viability of alternative water resources in water scarce regions:The roles of economic valuation,cost–benefit analysis and discounting.pdf
    • A Framework for Assessing of the Impact of Capacity Building.pdf
    • BIOFUELS,FOOD SECURITY AND COMPENSATORY SUBSIDIES.pdf
    • Biofuels,Growth and Agricultural Development.pdf
    • Disease and Behavioral Dynamics for Brucellosis Control in Elk and Cattle in the Greater Yellowstone Area.pdf
    • Economic analysis of summer fallow management to reduce take-all disease and N-leaching in a wheat crop rotation.pdf
    • Energy Input Use and CO2 Emissions in the Major Wheat Growing Regions of India.pdf
    • Exploring production-theoretical insights for analyzing trade-offs between economic performance and environmental pressure at firm level.pdf
    • Fertilizer profitability in East Africa:A Spatially Explicit Policy Analysis.pdf
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    • Mass Media and Public Policy: Global Evidence from Agricultural Policies.pdf
    • On food quality in domestic markets of developing economies.pdf
    • Optimal crop protection against climate risk in a dynamic cost-loss decision-making model.pdf
    • Rates of Return to Public Agricultural Research in 48 U.S. States.pdf
    • Using multi-agent modeling technique to regionalize key processes and patterns of sustainable agricultural cropping systems in the North China Plain.pdf
    • Where is Basmatirice Coming From?A Global Trade-related Overview.pdf
    • Would Consumers Value New Functional Properties of GM Food?A Choice-Modeling Approach for Rapeseed Oil.pdf
  • 6.22 MB
  • 2009-11-2
  • 6篇打包.rar

    本附件包括:
    • Delay discounting of real and hypothetical rewards III-Steady-state assessments, forced-choice trials,and all real rewards.pdf
    • Delay discounting of real and hypothetical rewards III-Steady-state assessments, forced-choice trials.pdf
    • Effects of multiple delayed rewards on delay discounting in an adjusting amount procedure.pdf
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    • Discounting delayed and probabilistic rewards Processes and traits.pdf
  • 1.19 MB
  • 2009-10-25
  • ch11.pdf
       Equity Discounted Cash Flow Models

  • 892.85 KB
  • 2009-10-21
  • ch5.pdf
       Estimating Discount Rates

  • 1.34 MB
  • 2009-10-21
  • 桌面.rar

    本附件包括:
    • Coordination, Control, and the Management of Organizations_ Course Notes (2nd of 4 CCMO documents.pdf
    • Theory of the Firm_ Managerial Behavior, Agency Costs and Ownership Structure.pdf
    • Separation of Ownership and Control.pdf
    • The Nature of Man.pdf
    • Agency Cost Of Free Cash Flow, Corporate Finance, and Takeovers.pdf
    • Self Interest, Altruism, Incentives, and Agency Theory.pdf
    • Agency Problems and Residual Claims.pdf
    • Stockholder, Manager, and Creditor Interests_ Applications of Agency Theory.pdf
    • The Adjustment of Stock Prices to New Information.pdf
    • Divisional Performance Measurement.pdf
    • CEO Incentives_It's Not How Much You Pay, But How.pdf
    • The Capital Asset Pricing Model_ Some Empirical Tests.pdf
    • Discussion of Corporate Financial Reporting_ A Methodological Review of Empirical Research_ Comment.pdf
    • Risk and the Discount Rate for Public Investment.pdf
    • Corporate Governance and 'Economic Democracy_ An Attack on Freedom.pdf
  • 9.28 MB
  • 2009-10-2
  • Excel Modeling and Estimation.rar

    本附件包括:
    • Ch_17_Spot_Futures_Parity.xlsx
    • Ch_01_Bond_Pricing.xlsx
    • Ch_02_Bond_Duration.xlsx
    • Ch_03_Bond_Convexity.xlsx
    • Ch_04_US_Yield_Curve_Dynam.xlsx
    • Ch_05_06_Port_Optimization.xlsm
    • Ch_07_Asset_Pricing.xlsx
    • Ch_08_Dealer_Simulation.xlsm
    • Ch_08_Trader_Simulation.xlsm
    • Ch_09_Portfolio_Diversific.xlsx
    • Ch_10_Life_Cycle_Fin_Plan.xlsx
    • Ch_11_Div_Discount_Models.xlsx
    • Ch_12_Option_Payoff_Profit.xlsx
    • Ch_13_Option_Trading_Strat.xlsx
    • Ch_14_Put_Call_Parity.xlsx
    • Ch_15_Binomial_Option_Pric.xlsx
    • Ch_16_Black_Scholes_Opt_Pr.xlsx
  • 5.17 MB
  • 2009-9-28
  • 投资学.rar

    本附件包括:
    • CHPT18-GMM in explicit discount factor models.pdf
    • CHP16-market efficiency-furthur analysis.pdf
    • CHPT1-introduction.pdf
    • CHPT02-risk and risk aversion.pdf
    • CHPT03-capital allocation.pdf
    • CHPT04-asset diversification.pdf
    • CHPT05-CAPM.pdf
    • CHPT06-Mutiple factor model.pdf
    • CHPT07-APT.pdf
    • CHPT8-Market efficiency.pdf
    • CHPT9-Index and index fund.pdf
    • CHPT10-Investment Styles.pdf
    • CHPT11-Performance Evaluation.pdf
    • CHPT12-1-Modern portfolio Theory.pdf
    • CHPT12-2-general asset pricing model.pdf
    • CHPT13- Factor pricing model--CAPM.pdf
    • CHPT14- The CAPM ---test.pdf
    • CHPT15- the equity market cross-section and time-series properties.pdf
    • CHPT17- Conditioning information.pdf
    • CHPT19- GMM and regression-based tests.pdf
  • 1.56 MB
  • 2009-9-20
  • 61-81.rar

    本附件包括:
    • Adoption and impact of an award winning post-harvest technology:The ASI rice thresher in the Senegal River Valley.pdf
    • Are Consumers in Developing Countries Willing-to-Pay More for Micronutrient-Dense Biofortified Foods?Evidence from a Field Experiment in Uganda.pdf
    • Concepts,applications and extensions of value chain analysis to livestock systems in developing countries.pdf
    • The Choice of Participation Forms in Community-Based Group Farming and Production in Team.pdf
    • Credit Constraints,Organizational Choice,and Returns to Capital: Evidence from a Rural Industrial Cluster in China.pdf
    • Did Agricultural Technological Changes Affect China’s Regional Disparity?.pdf
    • Do Sales Matter?An Exploration of Price Discounting in UK Food Retailing.pdf
    • Does the structure of agricultural science and technology policy system matter in developing country agricultural productivity growth trends?Evidence from Kenya and Uganda.pdf
    • ESTIMATING MARKET POWER BY RETAILERS IN THE ITALIAN PARMIGIANO REGGIANO AND GRANA PADANO CHEESE MARKET.pdf
    • Fear or greed?Duty or solidarity? Motivations and the development of sociocognitive and moral reasoning: experimental evidences from public-goods provision dilemmas.pdf
    • Implications of Adopting Special Products and Sensitive Products in Doha Negotiations for World and China’s Agriculture.pdf
    • INSTITUTIONS AND SUSTAINABLE LAND USE:THE CASE OF FOREST AND GRAZING LANDS IN NORTHERN ETHIOPIA.pdf
    • Investigating Thai Shopping Behavior: Wet-Markets,Supermarkets and the‘Big Middle’.pdf
    • Land Reallocation and Its Impacts on Technical Efficiency --Evidence from China’s Agricultural Production.pdf
    • Optimal Farm Size in Russian Agriculture.pdf
    • Park with People Conservation Strategy:Local Residents Willingness to pay and Expected Net losses in Ethiopia.pdf
    • Poverty Reduction during the Rural-Urban Transformation——The Role of the Missing Middle.pdf
    • Technology Adoption And Pest Control Strategies Among UK Cereal Farmers:Evidence from Parametric and Nonparametric Count Data Models.pdf
    • The Development of the Willingness to Cooperate:Collective-Action under the Light of the Constructivist Conception of Adult Development.pdf
    • THE SOCIO-ECONOMIC CONSEQUENCES OF THE IMPACT OF CLIMATE CHANGE ON WATER RESOURCES IN SOUTH AFRICA.pdf
    • Values as driving forces of culture-specific consumption patterns–an empirical investigation of wine consumers.pdf
  • 4.01 MB
  • 2009-9-4
  • 投资学讲义(英文版).rar

    本附件包括:
    • CHPT18-GMM in explicit discount factor models.pdf
    • CHP16-market efficiency-furthur analysis.pdf
    • CHPT1-introduction.pdf
    • CHPT02-risk and risk aversion.pdf
    • CHPT03-capital allocation.pdf
    • CHPT04-asset diversification.pdf
    • CHPT05-CAPM.pdf
    • CHPT06-Mutiple factor model.pdf
    • CHPT07-APT.pdf
    • CHPT8-Market efficiency.pdf
    • CHPT9-Index and index fund.pdf
    • CHPT10-Investment Styles.pdf
    • CHPT11-Performance Evaluation.pdf
    • CHPT12-1-Modern portfolio Theory.pdf
    • CHPT12-2-general asset pricing model.pdf
    • CHPT13- Factor pricing model--CAPM.pdf
    • CHPT14- The CAPM ---test.pdf
    • CHPT15- the equity market cross-section and time-series properties.pdf
    • CHPT17- Conditioning information.pdf
    • CHPT19- GMM and regression-based tests.pdf
  • 1.56 MB
  • 2009-6-28
  • 309964.rar
       [建议]投资学讲义(复旦大学).rar

    本附件包括:
    • CHPT18-GMM in explicit discount factor models.pdf
    • CHP16-market efficiency-furthur analysis.pdf
    • CHPT1-introduction.pdf
    • CHPT02-risk and risk aversion.pdf
    • CHPT03-capital allocation.pdf
    • CHPT04-asset diversification.pdf
    • CHPT05-CAPM.pdf
    • CHPT06-Mutiple factor model.pdf
    • CHPT07-APT.pdf
    • CHPT8-Market efficiency.pdf
    • CHPT9-Index and index fund.pdf
    • CHPT10-Investment Styles.pdf
    • CHPT11-Performance Evaluation.pdf
    • CHPT12-1-Modern portfolio Theory.pdf
    • CHPT12-2-general asset pricing model.pdf
    • CHPT13- Factor pricing model--CAPM.pdf
    • CHPT14- The CAPM ---test.pdf
    • CHPT15- the equity market cross-section and time-series properties.pdf
    • CHPT17- Conditioning information.pdf
    • CHPT19- GMM and regression-based tests.pdf
  • 1.56 MB
  • 2009-3-30
  • 309955.rar
       [下载]投资学讲义(复旦大学).rar

    本附件包括:
    • CHPT18-GMM in explicit discount factor models.pdf
    • CHP16-market efficiency-furthur analysis.pdf
    • CHPT1-introduction.pdf
    • CHPT02-risk and risk aversion.pdf
    • CHPT03-capital allocation.pdf
    • CHPT04-asset diversification.pdf
    • CHPT05-CAPM.pdf
    • CHPT06-Mutiple factor model.pdf
    • CHPT07-APT.pdf
    • CHPT8-Market efficiency.pdf
    • CHPT9-Index and index fund.pdf
    • CHPT10-Investment Styles.pdf
    • CHPT11-Performance Evaluation.pdf
    • CHPT12-1-Modern portfolio Theory.pdf
    • CHPT12-2-general asset pricing model.pdf
    • CHPT13- Factor pricing model--CAPM.pdf
    • CHPT14- The CAPM ---test.pdf
    • CHPT15- the equity market cross-section and time-series properties.pdf
    • CHPT17- Conditioning information.pdf
    • CHPT19- GMM and regression-based tests.pdf
  • 1.56 MB
  • 2009-3-30
  • 301456.rar
       投资学讲义-复旦版

    本附件包括:
    • CHPT18-GMM in explicit discount factor models.pdf
    • CHP16-market efficiency-furthur analysis.pdf
    • CHPT1-introduction.pdf
    • CHPT02-risk and risk aversion.pdf
    • CHPT03-capital allocation.pdf
    • CHPT04-asset diversification.pdf
    • CHPT05-CAPM.pdf
    • CHPT06-Mutiple factor model.pdf
    • CHPT07-APT.pdf
    • CHPT8-Market efficiency.pdf
    • CHPT9-Index and index fund.pdf
    • CHPT10-Investment Styles.pdf
    • CHPT11-Performance Evaluation.pdf
    • CHPT12-1-Modern portfolio Theory.pdf
    • CHPT12-2-general asset pricing model.pdf
    • CHPT13- Factor pricing model--CAPM.pdf
    • CHPT14- The CAPM ---test.pdf
    • CHPT15- the equity market cross-section and time-series properties.pdf
    • CHPT17- Conditioning information.pdf
    • CHPT19- GMM and regression-based tests.pdf
  • 1.56 MB
  • 2009-3-9
  • 263119.pdf
       [原创]Wiley Finance - Discounted Cash Flow

  • 1.7 MB
  • 2008-11-3
  • 261960.pdf
       Wiley.Discounted Cash Flow A Theory of the Valuation of Firms

  • 1.7 MB
  • 2008-10-31
  • 255691.rar
       [分享]欧洲央行的相关知识(英文)

    本附件包括:
    • European system of central bank.docx
    • Term Auction Facility and Discount Window.docx
  • 3.49 MB
  • 2008-10-12
  • 248915.pdf
       (Discount Factor Must-Have) Asset Pricing by J.Cochrane

  • 2.91 MB
  • 2008-9-21
  • 230472.rar
       2008年亚洲房地产学会论坛论文集3

    本附件包括:
    • The Partial Adjustment of Resale House Price Evidence from Taiwan.pdf
    • The Nearest Neighbors Appraisal Technique with Spatial Components.pdf
    • The Land Lease System in the People’s Republic of China Its Development, Performance and Reform1.pdf
    • The Interactions between Public and Private Housing.pdf
    • The Integration of Securitised.pdf
    • The Influence of E-Commerce on Business Performance:.pdf
    • The impacts of rail transit on housing prices and land development intensity The case of No.13 line of Beijing.pdf
    • The Impact of Urban Rail Transit on Residential Property.pdf
    • The Impact of Mortgage Subsidies on the.pdf
    • The Impact of Location on House Price of the Monocentric City Evidence from Beijing.pdf
    • The Heterogeneous Effect of Monetary Policy on Regional Real Estate Market.pdf
    • The Effects of Discretionary Housing Policies on Asset Returns.pdf
    • The Determinants of Real Estate Executive Compensation in.pdf
    • The consequences of the implementation.pdf
    • The comparative study in Chinese banks of credit risk evaluation models of real-estate.pdf
    • The Choice of Trading Venue and Relative Price Impact of.pdf
    • The Application of Grounded Theory on the House Buyers’Decision.pdf
    • The American Dream The Private and External Benefits of Homeownership.pdf
    • Testing Urbanization Economies in Manufacturing.pdf
    • TENANTS’ ACCEPTANCE LEVEL OF CURRENT TENANCY TERMS FOR SELECTED OFFICE BUILDINGS IN KUALA LUMPUR, MALAYSIA.pdf
    • Tax Incidence and Commercial Real Estate Leases.pdf
    • Subprime Lending and House Price Volatility.pdf
    • STRUCTURING ISSUES FOR COMMERCIAL MORTGAGEBACKED.pdf
    • Sticky Mortgages and the Real E¤ects of Monetary Policy.pdf
    • Smoothing consumption fluctuations through household decisions on home.pdf
    • SKILLS FOR ENGAGING COMMUNITIES IN THE HOUSING NEIGHBOURHOOD.pdf
    • Sample Selection Bias in Residential Property Price Indices.pdf
    • Risky Borrowers or Risky Mortgages The Right Product to Serve Low- and Moderate-Income Borrowers.pdf
    • residential sorting in Chinese Cities.pdf
    • Residential Property Affordability.pdf
    • Research on compensation system of urban housing demolition based on evolutionary game theory.pdf
    • Removing Biases in Computed Returns.pdf
    • REITs Return Behavior and Legal Infrastructure.pdf
    • Real Earnings Management and Dividend Payout Signals.pdf
    • Property Valuation, Investment and “Regressed” Discount Cash Flow Analysis.pdf
    • Professionalism in Striking a Deal the Case of Real Estate Agent.pdf
    • Principles Of A New York City Real Estate Developer.pdf
    • A Conceptual Model for improving housing affordability in Sydney.pdf
    • A Management Model for Price-restricted Housing in Beijing.pdf
    • A Modified Repeat Sales Index for Apartments.pdf
    • A Study into the Demand for Apartments in Central Auckland.pdf
    • A Time Series, Cross-Section Analysis of Appraisal-based Real Estate Returns.pdf
    • Aesthetical perception of public housing and correlation with.pdf
    • An empirical study of local dynamics and contagion in real estate markets.pdf
    • Appraisal Bias Patterns and Premises.pdf
    • Appraisal Bias --Type and Factors of the Cost Approach.pdf
    • Are Additions to the Nasdaq-100 Index Information Free.pdf
    • Are Asia-Pacific Housing Prices Too High For Comfort.pdf
    • Are Stock and Real Estate Markets Co-integrated in Asia.pdf
    • Author Order Conditions and Co-authorship in Real Estate Journals.pdf
    • Brownfields and Redevelopment in China Learning from the American.pdf
    • Bubbles in China housing markets.pdf
    • Building Environment as Significant Impact on Housing Price.pdf
    • Capital Structure Decisions in Turkish REITs.pdf
    • The Study of Property Appraisal for Real Estate Mortgage under the Information Asymmetry.pdf
    • The spatial heterogeneity of foreclosed mortgages.pdf
    • The relationship linking service attributes, and behavioral.pdf
    • The Relationship between Housing Mortgage Rate and Income Tax Rate.pdf
    • The Real Estate Premium Puzzle A Solution.pdf
    • The Performance and Problems of Affordable Housing Policy in China.pdf
  • 11.65 MB
  • 2008-7-25
  • 223032.rar
       【合集】100篇准备金文章

    本附件包括:
    • 用双广义线性模型预测非寿险未决赔款准备金.pdf
    • ESTIMATING THE WORKERS’ COMPENSATION TAIL RICHARD E. SHERMAN AND GORDON F. DISS .pdf
    • ESTIMATORS AND BOOTSTRAP CONFIDENCE INTERVALS FOR RUIN PROBABILITIES .pdf
    • FITTING TWEEDIE'S COMPOUND POISSON MODEL TO INSURANCE CLAIMS DATA.pdf
    • Generalized Linear Models Beyond the Exponential Family with Loss Reserve Applications.pdf
    • GLM Basic Modeling Avoiding Common Pitfalls.pdf
    • GLM III Advanced Modeling Strategy.pdf
    • IBNR FACTORS.pdf
    • IBNR Reserve Under a Loglinear Location-Scale Regression Model.pdf
    • IBNR索赔准备金均匀最小方差的无偏估计.pdf
    • Interpretations of Semi-Parametric Mixture Models.pdf
    • Largest Claims Reinsurance Premiums under Possible Claims Dependence.pdf
    • Local Mixtures and Exponential Dispersion Models.pdf
    • Loss Development Using Credibility.pdf
    • LOSS RESERVING METHODS.pdf
    • Loss Reserving Using Claim-Level Data.pdf
    • Loss Reserving with Limited Data.pdf
    • Mack_Venter.pdf
    • Measuring the Variability of Chain Ladder Reserve Estimates.pdf
    • Method of Testing Loss Reserves.pdf
    • Methods and Models of Loss Reserving Based on Run-Off Triangles_ A Unifying Survey.pdf
    • methods for IBNR.pdf
    • MODEL FOR IBNR CLAIMS.pdf
    • On the Analysis of the Truncated Generalized Poisson Distribution Using a Bayesian Method.pdf
    • On the Distribution of Discounted Loss Reserves Using Generalized Linear Models.pdf
    • On the Distribution of Discounted Loss.pdf
    • Parameter Estimation for Bornhuetter_Ferguson.pdf
    • Predictive Distributions for Reserves which Separate True IBNR.pdf
    • Refining Reserve Runoff Ranges.pdf
    • report on An approach to the analysis of claims experience in excess of loss reinsurance.pdf
    • Some remarks on IBNR evaluation techniques.pdf
    • STOCHASTIC CLAIMS INFLATION IN IBNR.pdf
    • STOCHASTIC CLAIMS RESERVING IN GENERAL INSURANCE By P. D. England and R. J. Verrall.pdf
    • Stochastic ReservingMack and Bootstrapping.pdf
    • THE ACTUARY AND IBNR.pdf
    • THE CLAIMS RESERVING PROBLEM IN NON-LIFE INSURANCE SOME STRUCTURAL IDEAS.pdf
    • The Estimation Error in the Chain-Ladder Reserving Method_A Bayesian Approach.pdf
    • The Modified Bornhuetter-Ferguson Approach To IBNR Allocation.pdf
    • The Path of the Ultimate Loss Ratio estimate..pdf
    • The Path of the Ultimate Loss Ratio Estimate.pdf
    • The Prediction Error of the Chain Ladder Method Applied to Correlated Run-off Triangles.pdf
    • Using Claim Department Work Measurement Systems to Determine Claim Adjustment Expense Reserves.pdf
    • Variance and Covariance in Reserves Due to Inflation.pdf
    • Which Stochastic Model is Underlying the Chain Ladder Method.pdf
    • 保险公司IBNR准备金财务规定的实证研究.pdf
    • 产险业已发生已报案未决赔款准备金评估差异性实证分析.pdf
    • 非寿险责任准备金评估.pdf
    • 广义线性模型在非寿险精算中的应用及其研究进展.pdf
    • 广义线性模型在汽车保险定价的应用.pdf
    • 我国保险公司IBNR准备金的财务核算内涵.pdf
    • 修正IBNR法的算法及其简化.pdf
    • ESTIMATING THE TAILS OF LOSS SEVERITY DISTRIBUTIOINS .pdf
  • 27.06 MB
  • 2008-6-27
  • 206259.pdf
       300币求:On the distribution of dividend payments and the discounted penalty function in a

  • 221.29 KB
  • 2008-4-17
  • 204797.rar
       [下载]

    本附件包括:
    • estimating discount rates.pdf
    • 投资银行ch3(发给学生).pdf
    • 投资银行ch5 (发给学生)上.pdf
    • 投资银行ch5 (发给学生)下.pdf
    • 证券发行与承销管理办法1.doc
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    • 中海油叩关资本市场.pdf
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  • 2007-12-14
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  • 2007-11-15
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  • 2007-6-29
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  • 2007-6-11
  • 91842.pdf
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  • 2007-2-16
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  • 2006-9-22
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  • 2006-4-22
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  • 2004-9-14
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