351 results on '"Frank, T"'
Search Results
2. The Psychology of Ethics in the Finance and Investment Industry
3. Lifetime Financial Advice: Human Capital, Asset Allocation, and Insurance
4. The Social Responsibility of the Investment Profession
5. Trends in Quantitative Finance
6. Investment Management for Taxable Private Investors
7. The Dynamics of the Hedge Fund Industry
8. Tax-Advantaged Savings Accounts and Tax-Efficient Wealth Accumulation
9. Conditional Performance Evaluation, Revisited
10. Earnings Quality
11. Security Analyst Independence
12. Employee Stock Options and Equity Valuation
13. The Stochastic Programming Approach to Asset, Liability, and Wealth Management
14. Investing in Emerging Markets
15. Anomalies and Efficient Portfolio Formation
16. Real Options and Investment Valuation
17. Why Fiscal Stimulus Is Unlikely to Work
18. Why Fiscal Stimulus Is Likely to Work
19. Corporate Governance Ratings and Firm Performance
20. Homeownership and Mixed–Asset Portfolio Allocations
21. Do Investors Value Smooth Performance?
22. Leverage Cycles and the Anxious Economy
23. Stochastic Optimization of Retirement Portfolio Asset Allocations and Withdrawals
24. Resolving the Global Imbalance: The Dollar and the U.S. Saving Rate
25. Global Imbalances: Globalization, Demography, and Sustainability
26. Diversification in Portfolios of Individual Stocks: 100 Stocks Are Not Enough
27. Agency Conflicts in Delegated Portfolio Management: Evidence from Namesake Mutual Funds
28. International Portfolio Diversification Benefits: Cross-Country Evidence from a Local Perspective
29. Downside Risk
30. Corporate Governance and Value Creation
31. New Kids on the Block
32. Analyzing the Analysts: When Do Recommendations Add Value?
33. The Index Futures Markets: Is Screen Trading More Efficient?
34. On the Valuation of Tax-Advantaged Retirement Accounts
35. CMBS: Moody's Approach to Terrorism Insurance for U.S. Commercial Real Estate
36. Disappearing Dividends: Changing Firm Characteristics or Lower Propensity to Pay?
37. Refining the Sharpe Ratio
38. The Shrinking Equity Premium
39. Economies of Scale in Mutual Fund Administration
40. Breakdown of Accounting Controls at Barings and Daiwa: Benefits of Using Opportunity-Cost Measures for Trading Activity
41. Asset-Pricing Anomalies in Global Industry Indexes
42. The Performance of Hedge Funds: Risk, Return, and Incentives
43. Equity Returns: Local GAAP versus U.S. GAAP for Foreign Issuers from Developing Countries
44. A Performance Benchmark for Commercial Mortgages
45. Firm Valuation and Accounting for Employee Stock Options
46. Do Stock Prices Fully Reflect Information in Accruals and Cash Flows about Future Earnings?
47. Blaming China Will Not Solve America’s Problem
48. Germany’s Eurozone Crisis Nightmare
49. The Case for Commodities
50. Why This Bust Is Different
Catalog
Books, media, physical & digital resources
Discovery Service for Jio Institute Digital Library
For full access to our library's resources, please sign in.