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2. The importance of expectations in determining sovereign spreads
3. Tips on writing a referee's report/Dicas para escrever uma avaliacao de artigo
4. Side-stepping the turbulence: Panama isn't daunted by the Panama papers, and presents itself as a nation with a solid program for investments
5. Realized semicovariances: Empirical applications to volatility forecasting and portfolio optimization
6. Nonparametric option pricing under Beta-t-GARCH process with dynamic conditional score
7. Using hierarchical risk parity in the Brazilian market: An out-of-sample analysis
8. Freer trade ... with more rules: with well over 100 trade agreements, Latin America is the freest trading region in the world, at least on paper. To benefit, very specific requirements must be followed that can challenge even the most organized and diligent companies
9. Foreign portfolio investment flows, expectations, and Brazilian stock market returns
10. Accessing financial reports and corporate events with GetDFPData/Acessando relatorios financeiros e eventos corporativos com GetDFPData
11. Comment on: 'Why is bank credit in Brazil the most expensive in the world?'
12. The natural yield curve in Brazil/A curva de juros natural no Brasil)
13. Impactssof the Monetary Policy Committee decisions on the foreign exchange rate in Brazil
14. Identification of monetary shocks through the yield curve: Evidence for Brazil
15. Short-selling, the supply side: Are lenders price makers?
16. Monetary Policy and Long-Term Real Rates in Brazil/Politica Monetaria e Taxa de Juros Real de Longo no Brasil
17. Composite leading indicators of economic activity: An application to Rio de Janeiro's upstream oil and gas industry
18. Empirical analyses of the effectiveness of interventions in the foreign exchange market in Brazil
19. The authentic Bee-Coin: A tokenized financial instrument for revenue-generating projects with social or environmental impact
20. Equilibrium real interest rates in Brazil: Convergence at last, but not quite
21. Price-volume relationship in the Brazilian market, stock lending and technical analysis/Relacao entre preco e volume de negocios, emprestimo de acoes e analise tecnica
22. Robust optimization of time series momentum portfolios
23. Monetary policy transmission mechanism: Risk taking channel in the Brazilian economy/Mecanismo de transmissao da politica monetaria: Canal de tomada de risco na economia brasileira (2000-2019)
24. Estimation of VIX futures through Gaussian factor models
25. Brazilian review of finance 2015 editorial report/Relatorio editorial de 2015 da revista Brasileira de financas
26. Determinants of the implied equity risk premium in Brazil
27. A note on stochastic volatility model estimation/(Nota sobre estimacao de modelos de volatilidade estocastica)
28. An award that crowns a dream
29. Functional data analysis for Brazilian term structure of interest rate
30. Relatorio editorial--2011
31. Brazilian review of finance 2016 editorial report/Relatorio editorial de 2016 da revista brasileira de financas
32. Efficiency and productivity of Brazilian banks: A new approach based on two-stage network DEA
33. The information content of risk reversals in emerging market currencies/O conteudo informacional dos 'risk reversals' em moedas de paises emergentes
34. Effects of policy uncertainty economics on the Brazilian economy: Evidence from the FAVAR/ Efeitos da incerteza da politica economica sobre a economia brasileira: Evidencias a partir do FAVAR
35. What is the sustainable withdraw rate for Brazil?/ Qual e a taxa de retirada sustentavel para o Brasil?
36. Risk reduction in loans against receivables/Reducao de risco no credito com duplicatas
37. Brazilian Review of Finance 2012 editorial report/Relatorio editorial de 2012 da Revista Brasileira de Financas
38. Predictability of stock market indexes following large drawdowns and drawups
39. Giving flexibility to the Nelson-Siegel class of term structure models
40. Editorial report--2010
41. Backtesting for the Expected Shortfall of the Trading Book: An Assessment of Methodologies/ Backtesting para o Expected Shortfall do Trading Book: Uma Avaliacao das Metodologias
42. Corporate Governance and Pyramidal Ownership: The Role of Novo Mercado/Governanca Corporativa e Propriedade Piramidal: O Papel do Novo Mercado
43. Brazilian Review of Finance 2017 Editorial Report/Relatorio Editorial de 2017 da Revista Brasileira de Financas
44. Exchange rates and accounting distortions in hedge operations: Hypothetical case with real market data/Taxas de cambio e distorcoes contabeis nas operacoes de hedge: Caso hipotetico com dados reais de mercado
45. Does stock market direction impact the alpha of funds?/A direcao do mercado acionario impacta o alfa de fundos?
46. Evaluating interest rate term-structure using extensions of the Diebold and Li three factors model/Avaliacao da curva de juros empregando extensoes do modelo de Diebold e & Li com tres fatores
47. A Bayesian nonparametric approach to option pricing
48. Why is bank credit in Brazil the most expensive in the world?
49. Reply to 'Comment on: 'Why is bank credit in Brazil the most expensive in the world''?
50. Relationships between price-earnings ratios and returns of treasury bonds/Relacoes entre indices preco-lucro e retornos dos titulos publicos
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